status of the de facto state in public international law
TRANSCRIPT
Status of the De Facto State in Public International Law
A Legal Appraisal of the Principle of Effectiveness
by
Sergo Turmanidze LL.M.
Dissertation
Presented to the Faculty of Law of the University of Hamburg
In Partial Fulfillment of the Requirements for the Degree of
Doctor of Laws (LL.D.)
Hamburg, 2010
ii
Titel der Dissertation: Status of the De Facto State in Public International Law
– A Legal Appraisal of the Principle of Effectiveness –
Dissertation zur Erlangung des akademischen Grades Doktor der Rechtswissenschaft (Dr. iur.)
des Fachbereichs Rechtswissenschaft der Universität Hamburg
vorgelegt von Sergo Turmanidze LL.M.
aus Tbilissi, Georgien
Hamburg, 2010
Erstgutachter: Prof. Dr. Luchterhandt Zweitgutachter: Prof. Dr. Bruha
Tag der mündlichen Prüfung: 30.06.2010
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To my mom
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Acknowledgements
I would like to thank my dissertation supervisor, Prof. Dr. iur. Otto Luchterhandt, for
tirelessly offering support and advice throughout the period I worked on my doctoral
dissertation. He shared his experience with regard to the very essence of the scientific
study and offered cogent suggestions in respect of this doctoral thesis. Those suggestions
guided me through the realm of public international law, bettered my project and gave me
the necessary push.
I owe many debts to Prof. Dr. iur. LL.M. Rainer Lagoni and Prof. Dr. Stefan Oeter at the
University of Hamburg for supporting me throughout the process, professionally as well as
morally. They wrote, together with my dissertation supervisor, in recommendation of my
project and helped me to obtain the necessary means for dissertation research and writing.
In this regard, I am grateful to the two institutions that financed my project. The University
of Hamburg funded two years in the Free and Hanseatic City on the ground of the Ph.D.
grant based on the Hamburg Law of Funding for Young Academics and Artists
(HmbNFG). Accordingly, I would like to express my profound gratitude to the
administration of the University of Hamburg. The Alfred Toepfer Stiftung F.V.S. awarded
me a scholarship aimed at financing the final phase of my work on the dissertation. I
appreciate the generosity of this foundation and would like to express my best thanks for
its investment in my project.
For this whole time I enjoyed the hospitality and openness which strengthened my research
in the field. I appreciate the helpfulness of the personnel of the NATO Depository Library
and Resource Center of the Georgian Foundation for Strategic and International Studies
(GFSIS) in Tbilisi, the State and University Library Carl von Ossietzky in Hamburg, the
Central Library of the Faculty of Law (ZBR) and the library of the Institute for Peace
Research and Security Policy at the University of Hamburg (IFSH).
My greatest debt is to my mother who has been so supportive throughout the period of my
work on the present doctoral thesis. I am grateful to my friends and colleagues for giving
me moral support during this process.
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Table of Contents
List of Abbreviations................................................................................................. xiii
Bibliography.............................................................................................................. xx
Books and Articles.....................................................................................................................xx
Judicial Decisions ....................................................................................................................xlvi
Domestic Courts...................................................................................................................xlvi
International Tribunals .........................................................................................................xlvi
UN Security Council Resolutions......................................................................................... xlviii
UN General Assembly Resolutions .........................................................................................xlix
Other Official Documents........................................................................................................xlix
Domestic Legislation ....................................................................................................................l
International Agreements............................................................................................................lii
Official Letters, Addresses, Statements and Declarations .........................................................liv
Interviews and Press Conferences .............................................................................................lvi
Official Internet Sites and other Electronic Sources..................................................................lvi
Miscellanea ...............................................................................................................................lvii
Abstract ...................................................................................................................... 1
Definition of the Subject Matter .................................................................................... 2
De facto regime............................................................................................................................2
Why the term “de facto state”? ....................................................................................................3
Distinct concepts by different scholars ........................................................................................4
Pål Kolstø ......................................................................................................................4
Michael Rywkin ............................................................................................................5
Charles King..................................................................................................................5
Randall Baker................................................................................................................5
Vladimir Kolossov / John O’Loughlin..........................................................................6
Deon Geldenhuys ..........................................................................................................6
Dov Lynch.....................................................................................................................6
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The issue of statehood and the notion of secession, their relevance to the subject matter ..........8
The concept of a “de facto state” and its dimensions ..................................................................9
Definition of the term...............................................................................................................9
Dimensions of de facto statehood ..........................................................................................10
Lack of “substantive recognition” – a hallmark of de facto statehood ..................................11
Author’s terminological choice: the concept of the “de facto state”......................................13
Outline of the Project and Methodical Approach to the Subject Matter ......................... 15
Introduction: General Problem of Law-Fact Interaction within the Realm of Public
International Law ...................................................................................................... 18
Distinguishing features of public international law: why do facts matter? ...............................18
Criticism of an approach implying self-evident prevalence of facts in the context of law-fact interaction ...........................................................................................................................23
Part I ........................................................................................................................ 25
“Different Faces” of the Principle of Effectiveness...............................................................25
Chapter 1: The concept known as “normative Kraft des Faktischen” ...........................25
1.1 Jellinek’s “normative Kraft des Faktischen” and its relevance to the international legal system...............................................................................................25
1.2 Assessment of the concept of “normative Kraft des Faktischen”......................26
1.3 Conceptual accommodation of the notion of “normative Kraft des Faktischen” within the realm of public international law .........................................30
Preliminary remarks ........................................................................................................32
Chapter 2: Ex factis jus oritur ............................................................................................34
2.1 Content of the notion and its dimensions ..............................................................34
2.2 Theoretical considerations .......................................................................................35
2.3 Ex factis jus oritur and the criteria for statehood ................................................38
2.4 The traditional criteria for statehood .....................................................................40
2.4.1 Permanent population ............................................................................................41
2.4.2 Defined territory.....................................................................................................41
2.4.3 Government ...........................................................................................................42
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2.4.4 Capacity to enter into relations with other states ...................................................43
2.4.5 Fulfillment of the traditional criteria for statehood: an aspiration of the de facto state ...................................................................................................................................44
2.5 The issue of independence and the criteria for statehood...................................45
2.5.1 The requirement of actual independence ...............................................................47
2.5.2 Significance of the notion of sovereignty ..............................................................49
2.6 Statehood denied .......................................................................................................52
2.6.1 Katanga ..................................................................................................................52
2.6.2 Biafra .....................................................................................................................53
2.6.3 Southern Rhodesia .................................................................................................55
2.6.4 South African homelands.......................................................................................61
Preliminary remarks ........................................................................................................65
Chapter 3: Fait accompli as a final expression of the alleged law-creating influence of facts ...................................................................................................................67
3.1 The content of the notion of fait accompli............................................................67
3.2 Dimensions of the concept of fait accompli .........................................................68
3.3 Law, power and the notion of fait accompli .........................................................69
3.4 The politics of international law and the notion of fait accompli .....................73
Preliminary remarks ........................................................................................................76
Chapter 4: Secession ............................................................................................................79
4.1 Content of the notion of secession and its dimensions .......................................79
4.2 The just-cause theory of secession .........................................................................81
4.2.1 The criteria inherent in the just-cause theory of secession ....................................82
4.2.2 Content of the just-cause theory of secession ........................................................86
4.3 Assessment of the concept of secession within the realm of public international law ..............................................................................................................89
4.4 The case of Chechnya: a challenge to international law.....................................92
4.4.1 Historical context ...................................................................................................92
4.4.2 Assessment of the Chechen secessionist claim......................................................97
Preliminary remarks ......................................................................................................103
4.5 Secession and the principle of effectiveness............................................................105
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Part II ..................................................................................................................... 108
Case Studies ............................................................................................................................108
Chapter 5: The “Republic of China on Taiwan” ............................................................109
5.1 Political context.......................................................................................................109
5.1.1 Designation of the territorial entity......................................................................109
5.1.2 History: 1895 – 1971 ...........................................................................................109
5.1.3 The ROC’s “derecognition” and the Taiwan Relations Act.................................112
5.1.4 Content of the Taiwan Relations Act...................................................................113
5.1.5 From “one China” policy to “total diplomacy” ...................................................115
5.1.6 Cross-strait relations and Beijing’s “Anti-Secession Law” .................................117
5.2 International legal context .....................................................................................120
5.2.1 Taipei and Beijing: the normative shift from “one China” to the “special state to state relationship” .............................................................................................120
5.2.2 Significance of the declaration of statehood........................................................122
5.2.3 Acceptance enjoyed by Taiwan on the international plane and “legal metamorphosis” of the status of this territorial entity...................................................123
5.2.4 Ex factis jus oritur: traditional criteria for statehood and Taiwan .......................124
5.2.5 The de facto state option for the Republic of China on Taiwan ..........................128
Chapter 6: The “Turkish Republic of Northern Cyprus” .............................................132
6.1 Political context.......................................................................................................132
6.1.1 History: 1878 – 1960 ...........................................................................................132
6.1.2 The birth of the Republic of Cyprus and its breakup...........................................133
6.1.3 The emergence of the TRNC and subsequent developments ..............................135
6.2 International legal context .....................................................................................138
6.2.1 The essence of a problem.....................................................................................138
6.2.2 Content of the 1960 arrangement and the problem of its validity .......................138
6.2.3 The UN Security Council Resolution 541 (1983) and the binding character of the 1960 arrangement ...............................................................................................141
6.2.4 The UN Security Council Resolution 550 (1984)................................................145
6.2.5 The Turkish Cypriot UDI in the context of the Treaty of Guarantee ..................146
6.2.6 Turkish invasion of Cyprus and its impact on the “birth” of the TRNC .............150
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6.2.7 Ex factis jus oritur: traditional criteria for statehood and the TRNC...................153
6.2.8 The TRNC and the issue of secession .................................................................154
6.2.9 The TRNC as the “de facto state”........................................................................156
Chapter 7: The “Republic of Kosovo” .............................................................................159
7.1 Political context.......................................................................................................159
7.1.1 History: 1389 – 1986 ...........................................................................................159
7.1.2 Kosovo in the context of the policy implemented by Slobodan Milošević .........161
7.1.3 The international community’s response .............................................................164
7.1.4 NATO’s military intervention and its aftermath ..................................................166
7.1.5 The UNMIK and the “internationalization” of Kosovo’s status ..........................168
7.2 International legal context .....................................................................................172
7.2.1 NATO’s military intervention – pros and cons....................................................172
7.2.1 (i) Arguments in support of NATO’s “humanitarian intervention” .................173
7.2.1 (ii) Criticism of NATO’s military intervention ................................................177
7.2.2 Kosovo’s “constitutional status” and its implications..........................................185
7.2.3 Kosovo in the context of an “earned sovereignty approach”...............................187
7.2.4 The UN Security Council Resolution 1244 (1999) and its impact on Kosovo’s status .............................................................................................................190
7.2.5 The UN Security Council Resolution 1244 (1999) and the issue of Kosovo’s secession .......................................................................................................................193
7.2.6 Kosovo’s independence imposed on Serbia?.......................................................196
7.2.6 (i) The UN Security Council and the issue of permanent alteration of state boundaries .................................................................................................................196
7.2.6 (ii) Independence via “internationalization”: the case of East Timor ..............197
7.2.6 (iii) Kosovo’s status in the context of “international legislation” ....................200
7.2.6 (iv) The UN Security Council and its legislative capacity...............................203
7.2.6 (v) The UN Security Council Resolution 1244 (1999) as the document legitimizing the new territorial status........................................................................206
7.2.7 Kosovo’s “final” status settlement and its legal implications ..............................207
7.2.8 Self-determination by estoppel? ..........................................................................210
7.2.8 (i) The notion of acquiescence and its dimensions ..........................................210
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7.2.8 (ii) The concept of estoppel in international law..............................................212
7.2.8 (iii) There is no self-determination by estoppel in the case of Kosovo............214
7.2.9 The reasoning behind the Kosovo status settlement and the problem of precedential value of the Kosovo case..........................................................................215
7.2.10 The “Republic of Kosovo” – uniqueness of the de facto state ..........................218
Chapter 8: The “Republic of Abkhazia” .........................................................................221
8.1 Political context.......................................................................................................221
8.1.1 History: from antiquity to the Soviet rule ............................................................221
8.1.2 The Abkhaz and the Georgian political aspirations in the period of the downfall of the USSR ...................................................................................................223
8.1.3 Gamsakhurdia’s overthrow and the Georgian-Abkhaz war of 1992-93..............226
8.1.4 The post-war settlement and further developments .............................................229
8.1.5 Abkhazia’s declaration of independence and its aftermath..................................233
8.2 International legal context .....................................................................................234
8.2.1 The Soviet nationalities policy and the “matrioshka-type” federalism of the USSR ............................................................................................................................234
8.2.2 The “national question” in the USSR ..................................................................239
8.2.3 The constitutional right of secession in the Soviet setting and its limitations .....240
8.2.4 The documents adopted by the Abkhaz Supreme Soviet on 25 August 1990 and the issue of Abkhazia’s secession from Georgia ....................................................244
8.2.5 The issue of Abkhazia’s secession from Georgia in the context of the all-union referendum of 17 March 1991 ............................................................................248
8.2.6 The resolution adopted by the Abkhaz Supreme Soviet on 23 July 1992 and the question of Abkhazia’s secession from Georgia .....................................................252
8.2.6 (i) Georgia’s steps towards independence and their legal implications: assessment of the Soviet past ....................................................................................253
8.2.6 (ii) Alteration of Abkhazia’s status on the basis of unilateral actions of the Georgian leadership?.................................................................................................256
8.2.6 (iii) Abkhazia’s secession from Georgia on the basis of the resolution of 23 July 1992 has to be rejected .................................................................................259
8.2.7 The issue of Abkhazia’s secession from Georgia in the context of the notion of unilateral remedial secession....................................................................................259
8.2.7 (i) General considerations ................................................................................259
8.2.7 (ii) Abkhazia and the issue of internal self-determination ...............................262
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8.2.7 (iii) The problem of territorial definition of a claimant to external self-determination.............................................................................................................268
8.2.7 (iv) The notion of uti possidetis and Abkhazia as a territorially defined “self” in the context of secessionist self-determination ............................................273
8.2.8 The notion of prescription and Abkhazia’s claim to independent statehood .......278
8.2.8 (i) Essence of the concept of prescription and its dimensions within the realm of public international law ..............................................................................278
8.2.8 (ii) The place ascribed to the notion of acquisitive prescription within the realm of public international law ..............................................................................283
8.2.8 (iii) Significance of the notion of acquisitive prescription in the context of de facto statehood and its application to the case of the “Republic of Abkhazia”....285
8.2.9 Alleged precedential value of the case of Kosovo and its impact on Abkhazia’s status...........................................................................................................289
Chapter 9: The “Republic of South Ossetia” ..................................................................293
9.1 Political context.......................................................................................................293
9.1.1 History: from ancient times to the creation of the South Ossetian AO ...............293
9.1.2 Secessionist aspirations of the South Ossetian leadership and the outbreak of hostilities between the Georgian and South Ossetian sides ..........................................294
9.1.3 The post-conflict settlement and its implications ................................................296
9.1.4 Further developments...........................................................................................298
9.2 International legal context .....................................................................................299
9.2.1 The issue of South Ossetia’s secession from Georgia..........................................299
9.2.2 An approach to the problem of South Ossetia’s status: the issue of applicability of international legal norms to the de facto state .....................................301
9.2.3 The notion of an internal armed conflict and its significance in the context of de facto statehood .....................................................................................................302
9.2.3 (i) Civil strife and its internationalization – general considerations ................302
9.2.3 (ii) Internal armed conflicts and the “old law”: recognition of belligerency ...304
9.2.3 (iii) Civil wars and their legal regulation .........................................................306
9.2.4 Article 2 (4) of the UN Charter – its content and dimensions .............................309
9.2.5 The problem of applicability of Article 2 (4) of the UN Charter to the relations between a “mother state” and the de facto territorial entity and the Georgia – South Ossetia case........................................................................................317
9.2.5 (i) Frowein’s theoretical approach concerning the internationalization of relations between a “parent state” and the “de facto regime” ...................................317
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9.2.5 (ii) Criticism of Frowein’s theoretical approach and its specification .............320
9.2.5 (iii) The issue of applicability of Article 2 (4) of the UN Charter to the relations between Georgia and the “Republic of South Ossetia”..............................324
9.2.6 Article 2 (4) of the UN Charter and the de facto state – problems of application revealed by practice....................................................................................333
9.2.6 (i) The case of Chechnya: a setback suffered by the de facto state in the context of its protection under Article 2 (4) of the UN Charter................................333
9.2.6 (ii) The Russian – Georgian war of 2008 and its implications ........................334
9.2.6 (iii) The notion of humanitarian intervention and contemporary international law: justification of unilateral use of force ..........................................337
9.2.6 (iv) Russia’s “humanitarian war” of August 2008 and its legal assessment ....339
9.2.6 (v) Russia’s “political impact” on the status of the “Republic of South Ossetia” .....................................................................................................................342
9.2.7 The “Republic of South Ossetia” as the de facto state.........................................344
Preliminary remarks ......................................................................................................346
Chapter 10: Recognition of statehood and its significance in the context of de facto territorial situations ..................................................................................................349
10.1 Content of the notion of recognition and its dimensions................................349
10.2 Recognition and the issue of statehood .............................................................353
10.3 Collective recognition and non-recognition .....................................................357
10.4 “Regulation of statehood” on the basis of the recognition policy.................365
10.5 Legal impact of recognition and non-recognition of statehood on the principle of effectiveness .............................................................................................370
Conclusions ............................................................................................................. 378
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List of Abbreviations
AD Anno Domini
ADB Asian Development Bank
AIT American Institute in Taiwan
AJIL American Journal of International Law
AO Autonomous Oblast
APEC Asia-Pacific Economic Cooperation
Appl. Application
ARATS Association for Relations Across the Taiwan Straits
Art. Article / Artikel
ASIL American Society of International Law
ASSR Autonomous Soviet Socialist Republic
Aufl. Auflage
AVR Archiv des Völkerrechts
BBC British Broadcasting Corporation
BC Before Christ
Bd. Band
BIOst Bundesinstitut für ostwissenschaftliche und internationale
Studien
BVerfGE Entscheidungen des Bundesverfassungsgerichts BYIL British Yearbook of International Law
CCNAA Coordination Council for North American Affairs
cen. century
CEPS Centre for European Policy Studies
ch. chapter
xiv
Chinese JIL Chinese Journal of International Law
CIA Central Intelligence Agency
CIS Commonwealth of Independent States
CISPKF Commonwealth of Independent States Peacekeeping Force
Col. colonel
CPC Confederation of the Peoples of the Caucasus
CSCE Conference on Security and Cooperation in Europe
CVN Charta der Vereinten Nationen
d.h. das heißt
DPP Democratic Progressive Party
EC European Community
ECHR European Court of Human Rights
ed. edition / editor
eds. editors
e.g. exempli gratia
EJIL European Journal of International Law
EOKA Ellenikos Organismos Kypriakon Agoniston
EPC European Political Cooperation
EPIL Encyclopedia of Public International Law
et al. et alii
etc et cetera
EU European Union
ff. and following pages
FRG Federal Republic of Germany
FRY Federal Republic of Yugoslavia
FS Festschrift
FW Die Friedens-Warte
xv
GATT General Agreement on Tariffs and Trade
GDR German Democratic Republic
GUS Gemeinschaft Unabhängiger Staaten
HESt Höchstrichterliche Entscheidungen in Strafsachen
Hrsg. Herausgeber
HuV Humanitäres Völkerrecht
Ibid. ibidem
IBRU International Boundaries Research Unit
ICCPR International Covenant on Civil and Political Rights
ICJ International Court of Justice
ICLQ International and Comparative Law Quarterly
ICTY International Criminal Tribunal for the former Yugoslavia
IDPs Internally Displaced Persons
i.e. id est
IGFM Internationale Gesellschaft für Menschenrechte
IISS International Institute for Strategic Studies
IJBL International Journal of Baltic Law
ILM International Legal Materials
ILR International Law Reports
INTERFET International Force for East Timor
IOC International Olympic Committee
IP Internationale Politik
IPG Internationale Politik und Gesellschaft
JCC Joint Control Commission
Jg. / Jhg. Jahrgang
JPKF Joint Peacekeeping Forces
JuS Juristische Schulung
xvi
JZ Juristenzeitung
Kavburo Caucasian Bureau
KFOR Kosovo Force
KLA Kosovo Liberation Army
km. kilometer
KMT Kuomintang
LDK Lidhja Demokratike e Kosovës
LJIL Leiden Journal of International Law
LNOJ League of Nations Official Journal
Lt. lieutenant
MFA Ministry of Foreign Affairs
MPs Members of Parliament
NATO North Atlantic Treaty Organization
NKAO Nagorno-Karabakh Autonomous Oblast
no. / No. number
Nos. numbers
Nr. Nummer
NZWehrr Neue Zeitschrift für Wehrrecht
OAU Organization for African Unity
OLG Oberlandesgericht
OSCE Organization for Security and Cooperation in Europe
p. page
para. / paras. paragraph / paragraphs
PCIJ Permanent Court of International Justice
PISG Provisional Institutions of Self-Government
PLO Palestine Liberation Organization
pp. pages
xvii
PRC People’s Republic of China
Pt. Part
PVS Politische Vierteljahresschrift
RDI Revue de Droit International, de sciences diplomatiques et
politiques
Rdnr. Randnummer
REG Regulation
Res. Resolution
RIAA Reports of International Arbitral Awards
ROC Republic of China
ROCOT Republic of China on Taiwan
RSFSR Russian Soviet Federative Socialist Republic
SAYIL South African Yearbook of International Law
SC Security Council
SCOR Security Council Official Records
Sec. Section
SEF Straits Exchange Foundation
Ser. Series
SFRY Socialist Federal Republic of Yugoslavia
SIPRI Stockholm International Peace Research Institute
SSR Soviet Socialist Republic
SVN Satzung der Vereinten Nationen
SWAPO South-West Africa People's Organization
TESG Tijdschrift voor Economische en Sociale Geografie
TMR Trans-Dniester Moldovan Republic
TRA Taiwan Relations Act
TRNC Turkish Republic of Northern Cyprus
xviii
TRNZ Türkische Republik Nordzypern
TSFSR Transcaucasian Socialist Federative Soviet Republic
UÇK Ushtria Çlirimtare e Kosovës
UDI Unilateral Declaration of Independence
UdSSR Union der Sozialistischen Sowjetrepubliken
UK United Kingdom
UN United Nations
UNAMET United Nations Mission in East Timor
UNFICYP United Nations Force in Cyprus
UNGA United Nations General Assembly
UNHCR United Nations High Commissioner for Refugees
UNMIK United Nations Interim Administration Mission in Kosovo
UNO United Nations Organization
UNOMIG United Nations Observer Mission in Georgia
UNPO Unrepresented Nations and Peoples Organization
UNSC United Nations Security Council
UNSCR United Nations Security Council Resolution
UNTAET United Nations Transitional Administration in East Timor
UNTS United Nations Treaty Series
UP University Press
US / U.S. United States
USSR Union of Soviet Socialist Republics
usw. und so weiter
v. versus
viz. videlicet
Vol. Volume
VR Völkerrecht
xix
VRÜ Verfassung und Recht in Übersee
WTO World Trade Organization
ZaöRV Zeitschrift für ausländisches öffentliches Recht und
Völkerrecht
Ziff. Ziffer
ZRP Zeitschrift für Rechtspolitik
xx
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Verdross, Alfred / Simma, Bruno - Universelles Völkerrecht, 3. Aufl., Berlin, 1984;
Verosta, Stephan - Die Politik der vollendeten Tatsachen und ihre rechtlichen Grenzen, in: Wissenschaft und Weltbild, Zeitschrift für alle Gebiete der Forschung, Jg. 7, 1954 (p. 331 ff.);
Verosta, Stephan - Rechtsgeschichte und Reine Rechtslehre: Zugleich ein Beitrag zum Problem der Beziehung zwischen Faktizität und Normativität, in: S. Engel / R. A. Métall (eds.), Law, State, and International Legal Order, Essays in Honor of Hans Kelsen, Knoxville, 1964 (p. 347 ff.);
Verzijl, J. H. W. - International Law in Historical Perspective, Vol. I, General Subjects, Publications of the Institute for International Law of the University of Utrecht, (M. Bos (ed.)), Series A, Modern International Law, No. 4, Leiden, 1968;
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Verzijl, J. H. W. - International Law in Historical Perspective, Part VI, Juridical Facts as Sources of International Rights and Obligations, Publications of the Institute for International Law of the University of Utrecht, Series A, Modern International Law, No. 10, Leiden, 1973;
von der Heydte, Friedrich August Freiherr - Ein Beitrag zum Problem der Macht im „klassischen“ und im „neuen“ Völkerrecht, in: W. Schätzel / H. - J. Schlochauer (Hrsg.), Rechtsfragen der internationalen Organisation, FS für H. Wehberg, Frankfurt am Main, 1956 (p. 172 ff.);
von der Heydte, Friedrich August Freiherr - Völkerrecht, Ein Lehrbuch, Bd. I, Köln, 1958;
Vorster, M. P. - The International Legal Personality of Nasciturus States, in: SAYIL, Vol. 4, 1978 (p. 1 ff.);
Wallace-Bruce, Nii Lante - Taiwan and Somalia: International Legal Curiosities, in: Queen’s Law Journal, Vol. 22, 1997 (p. 453 ff.);
Warbrick, Colin - Unrecognised States and Liability for Income Tax, in: ICLQ, Vol. 45, 1996 (p. 954 ff.);
Weber, Hermann - Der Jugoslawien-Konflikt und die Grenzen des Selbstbestimmungsrechts der Völker, in: HuV-I, Jg. 6, Heft 1, 1993 (p. 4 ff.);
Wedgwood, Ruth - NATO’s Campaign in Yugoslavia, in: AJIL, Vol. 93, 1999 (p. 828 ff.);
Welhengama, Gnanapala - The Legitimacy of Minorities’ Claim for Autonomy through the Right to Self-Determination, in: Nordic Journal of international Law, Acta scandinavica juris gentium, Vol. 68, 1999 (pp. 413-438);
Weller, Marc - The Self-determination Trap, in: Ethnopolitics, Vol. 4, 2005 (pp. 3-28);
Weng, Byron S. J. - Taiwan’s International Status Today, in: The China Quarterly, an international journal for the study of China, No. 99, 1984 (p. 462 ff.);
White, Robin - Recognition of States and Diplomatic Relations, in: ICLQ, Vol. 37, 1988 (p. 983 ff.);
Williams, John - Legitimacy in International Relations and the Rise and Fall of Yugoslavia, London / New York, 1998;
Williams, Paul R. / Jannotti Pecci, Francesca - Earned Sovereignty: Bridging the Gap Between Sovereignty and Self-Determination, in: Stanford Journal of International Law, Vol. 40, 2004 (p. 347 ff.);
Wilms, Heinrich - Der Kosovo-Einsatz und das Völkerrecht, in: ZRP, Jg. 32, 1999 (p. 227 ff.);
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Witkin, Merrie Faye - Transkei: An Analysis of the Practice of Recognition – Political or Legal?, in: Harvard International Law Journal, Vol. 18, 1977 (p. 605 ff.);
Wright, Quincy - The Prevention of Aggression, in: AJIL, Vol. 50, 1956 (p. 514 ff.);
Wu, Linjun - Limitations and Prospects of Taiwan’s Informal Diplomacy, in: J. - M. Henckaerts (ed.), The International Status of Taiwan in the New World Order, Legal and Political Considerations, London et al., 1996 (p. 35 ff.);
Yahuda, Michael - The International Standing of the Republic of China on Taiwan, in: The China Quarterly, an international journal for the study of China, No. 148, 1996 (p. 1319 ff.);
Yannis, Alexandros - Kosovo Under International Administration, in: Survival, The IISS Quarterly, Vol. 43, 2001 (pp. 31-48);
Zacklin, Ralph - Beyond Kosovo: The United Nations and Humanitarian Intervention, in: Virginia Journal of International Law, Vol. 41, 2001 (p. 923 ff.);
Ziehen, Ursula - Vollendete Tatsachen bei Verletzungen der territorialen Unversehrtheit, Eine völkerrechtliche Untersuchung, Beihefte zum Jahrbuch der Albertus-Universität Königsberg / Pr., XX, Würzburg, 1962;
Zierau, Tabea - State Building without Sovereignty: The Somaliland Republic, in: Mondes en Développement, Vol. 31, 2003 (p. 57 ff.);
Zuck, Rüdiger - Der Krieg gegen Jugoslawien, in: ZRP, Jg. 32, 1999 (p. 225 ff.).
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Judicial Decisions
Domestic Courts OLG Frankfurt a. M., Strafsenat, Urteil v. 12. 8. 1947 – Ss 92/47, in: H. Kleine et al. (Hrsg.), HESt, Sammlung von Entscheidungen der Oberlandesgerichte und der Obersten Gerichte in Strafsachen, Bd. 1, Heidelberg, 1948-1950 (p. 67);
BVerfGE, Urteil des Ersten Senats vom 4. Mai 1955 – 1 BvF 1/55 – in dem Verfahren wegen verfassungsrechtlicher Prüfung des Bundesgesetzes vom 24. März 1955 betreffend das am 23. Oktober 1954 in Paris unterzeichnete Abkommen über das Statut der Saar, in: Entscheidungen des Bundesverfassungsgerichts, Bd. 4, 1956 (p. 157);
United States: Court of Appeals for the Second Circuit Decision in Kadic v. Karadžić [October 13, 1995], in: 34 ILM 1592 (1995);
Reference Re Secession of Quebec, Canada, Supreme Court, 20 August 1998, in: Sir E. Lauterpacht et al., (eds.), ILR, Vol. 115, 1999 (p. 536).
International Tribunals Decision of the Permanent Court of Arbitration in the Matter of the Maritime Boundary Dispute between Norway and Sweden, reprinted in: AJIL, Vol. 4, Part 1, 1910 (p. 226);
The Chamizal Case, 1911, in: RIAA, Vol. XI (p. 309);
Status of Eastern Carelia, Advisory Opinion, 1923, in: Publications of the Permanent Court of International Justice, Ser. B. No. 5., Collection of Advisory Opinions, Leyden, 1923 (p. 7);
The S.S. Lotus, Judgment No. 9, September 7, 1927, [Series A, No. 10, pp. 4-108], in: M. O. Hudson (ed.), World Court Reports, A Collection of the Judgments, Orders and Opinions of the Permanent Court of International Justice, Vol. II (1927-1932), Washington, 1935 (p. 20);
Island of Palmas Case, 1928, in: RIAA, Vol. II (p. 829);
Case concerning the Payment of Various Serbian Loans Issued in France, in: Publications of the Permanent Court of International Justice, Ser. A. Nos. 20/21, Collection of Judgments, Leyden, 1929 (p. 5);
Deutsche Continental Gas-Gesellschaft v. Polish State, Germano-Polish Mixed Arbitral Tribunal, 1929, in: H. Lauterpacht (ed.), Annual Digest of Public International Law Cases, Being a Selection from the Decisions of International and National Courts and Tribunals given during the Years 1929 and 1930, Department of International Studies of the London School of Economics and Political Science (University of London), London, 1935 (p. 11);
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Customs Régime between Austria and Germany, Advisory Opinion [No. 20], 1931, Individual Opinion by M. Anzilotti, in: M. O. Hudson (ed.), World Court Reports, A Collection of the Judgments, Orders and Opinions of the Permanent Court of International Justice, Vol. II, 1927-1932, Washington, 1935 (p. 711);
Admission of a State to the United Nations (Charter, Art. 4), Advisory Opinion: I.C.J. Reports 1948, p. 57;
Reparation for injuries suffered in the service of the United Nations, Advisory Opinion: I.C.J. Reports 1949, p. 174;
Fisheries case, Judgment of December 18th, 1951: I.C.J. Reports 1951, p. 116;
Case concerning the Temple of Preah Vihear (Cambodia v. Thailand), Merits, Judgment of 15 June 1962: I.C.J. Reports 1962, p. 6;
Separate Opinion of Vice-President Alfaro, Case concerning the Temple of Preah Vihear (Cambodia v. Thailand), Merits, Judgment of 15 June 1962: I.C.J. Reports 1962, p. 6;
Legal Consequences for States of the Continued Presence of South Africa in Namibia (South West Africa) notwithstanding Security Council Resolution 276 (1970), Advisory Opinion, I.C.J. Reports 1971, p. 16;
Frontier Dispute, Judgment, I.C.J. Reports 1986, p. 554;
Military and Paramilitary Activities in and against Nicaragua (Nicaragua v. United States of America), Merits, Judgment, I.C.J. Reports 1986, p. 14;
Dissenting Opinion of Judge Skubiszewski, East Timor (Portugal v. Australia), Judgment, I.C.J. Reports 1995, p. 90;
Case of Loizidou v. Turkey, Appl. no. 15318/89, Judgment (Merits and just satisfaction), ECHR, judgment of 18 December 1996, available on the official website of the ECHR, at: http://cmiskp.echr.coe.int/tkp197/search.asp?sessionid=6710424&skin=hudoc-en
Dissenting Opinion of Judge Pettiti, Case of Loizidou v. Turkey, Appl. no. 15318/89, Judgment (Merits and just satisfaction), ECHR, judgment of 18 December 1996, available on the official website of the ECHR, at: http://cmiskp.echr.coe.int/tkp197/search.asp?sessionid=6710424&skin=hudoc-en
Concurring opinion of Judge Wildhaber, joined by Judge Ryssdal, Case of Loizidou v. Turkey, Appl. no. 15318/89, Judgment (Merits and just satisfaction), ECHR, judgment of 18 December 1996, available on the official website of the ECHR, at: http://cmiskp.echr.coe.int/tkp197/search.asp?sessionid=6710424&skin=hudoc-en International Criminal Tribunal for the Former Yugoslavia: Decision in Prosecutor v. Duško Tadić, Case No. IT-94-1-AR72, in: 35 ILM 32 (1996).
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UN Security Council Resolutions UNSC Res. 169 (1961) of 24 November 1961, [S/5002], available on the official website of the UN, at: http://www.un.org/documents/sc/res/1961/scres61.htm
UNSC Res. 217 (1965) of 20 November 1965, available on the official website of the UN, at: http://www.un.org/documents/sc/res/1965/scres65.htm
UNSC Res. 277 (1970) of 18 March 1970, available on the official website of the UN, at: http://www.un.org/documents/sc/res/1970/scres70.htm
UNSC Res. 288 (1970) of 17 November 1970, available on the official website of the UN, at: http://www.un.org/documents/sc/res/1970/scres70.htm
UNSC Res. 367 (1975) of 12 March 1975, in: Resolutions and Decisions of the Security Council (1975), SCOR 30, United Nations, New York, 1976 (p. 1);
UNSC Res. 402 (1976) of 22 December 1976, in: Resolutions and Decisions of the Security Council (1976), SCOR 31, United Nations, New York, 1977 (p. 13);
UNSC Res. 541 (1983) of 18 November 1983, in: Resolutions and Decisions of the Security Council (1983), SCOR 38, United Nations, New York, 1984 (p. 15);
UNSC Res. 550 (1984) of 11 May 1984, in: Resolutions and Decisions of the Security Council (1984), SCOR 39, United Nations, New York, 1985 (p. 12);
UNSC Res. 858 (1993) of 24 August 1993, available on the official website of the UN, at: http://www.un.org/Docs/scres/1993/scres93.htm
UNSC Res. 937 (1994) of 21 July 1994, available on the official website of the UN, at: http://www.un.org/Docs/scres/1994/scres94.htm
UNSC Res. 1160 (1998) of 31 March 1998, in: Resolutions and Decisions of the Security Council (1998), SCOR 53, United Nations, New York, 2000 (p. 10);
UNSC Res. 1199 (1998) of 23 September 1998, in: Resolutions and Decisions of the Security Council (1998), SCOR 53, United Nations, New York, 2000 (p. 13);
UNSC Res. 1203 (1998) of 24 October 1998, in: Resolutions and Decisions of the Security Council (1998), SCOR 53, United Nations, New York, 2000 (p. 15);
UNSC Res. 1244 (1999) of 10 June 1999, in: Resolutions and Decisions of the Security Council (1999), SCOR 54, United Nations, New York, 2001 (p. 32);
UNSC Res. 1272 (1999) of 25 October 1999, in: Resolutions and Decisions of the Security Council (1999), SCOR 54, United Nations, New York, 2001 (p. 130).
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UN General Assembly Resolutions UNGA Res. 2077 (XX) of 1965, available on the official website of the UN, at: http://www.un.org/documents/ga/res/20/ares20.htm
UNGA Res. 2625 (XXV) of 24 October 1970, Declaration on Principles of International Law Concerning Friendly Relations and Cooperation among States in Accordance with the Charter of the United Nations, in: D. Rauschning et al. (eds.), Key Resolutions of the United Nations General Assembly (1946-1996), Cambridge UP, 1997 (p. 3);
UNGA Res. 2758 (XXVI), Restoration of the lawful rights of the People’s Republic of China in the United Nations (25. 10. 1971), available on the official website of the UN, at: http://www.un.org/documents/ga/res/26/ares26.htm
UNGA Res. 31/6 (A) of 26 October 1976, available on the official website of the UN, at: http://www.un.org/documents/ga/res/31/ares31.htm
UNGA, A/RES/63/3, 63rd session, Agenda item 71, 8 October 2008, Resolution adopted by the General Assembly [without reference to a Main Committee (A/63/L.2)], 63/3. Request for an advisory opinion of the International Court of Justice on whether the unilateral declaration of independence of Kosovo is in accordance with international law, available on the official website of the UN, at: http://www.un.org/ga/63/resolutions.shtml
Other Official Documents Report of the International Committee of Jurists entrusted by the Council of the League of Nations with the task of giving an advisory opinion upon the legal aspects of the Aaland Islands question, in: LNOJ, Special Supplement No.3., 1920 (p. 3);
Organization of African Unity: Resolution on Non-Recognition of South African Bantustans (adopted at the Twenty-Seventh Ordinary Session of the O.A.U. Council of Ministers, held at Port Louis, Mauritius, June 24-July 3, 1976), reproduced in: ILM, Vol. XV, 1976 (p. 1221);
European Community: Declaration on Yugoslavia and on the Guidelines on the Recognition of New States [December 16, 1991], Declaration on the “Guidelines on the Recognition of New States in Eastern Europe and in the Soviet Union” of 16 December 1991, in: 31 ILM 1485 (1992);
Conference on Yugoslavia Arbitration Commission: Opinions on Questions arising from the Dissolution of Yugoslavia [January 11 and July 4, 1992], in: 31 ILM 1488 (1992);
Europäisches Parlament, Entschließung zum Recht auf Intervention aus humanitären Gründen, Sitzungsperiode 1994-1995, Tagung vom 18. bis 22. April 1994, in: Amtsblatt der Europäischen Gemeinschaften, Teil C, 1994, Nr. 100-132, Nr. C 128 (p. 225);
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CSCE Budapest Document 1994, corrected version 21 December 1994, Budapest Decisions, Regional Issues, Georgia, available on the official website of the OSCE, at: http://www.osce.org/documents/mcs/1994/12/4048_en.pdf OSCE Lisbon Document 1996, DOC.S/1/96 (3 December 1996), Lisbon Summit Declaration, available on the official website of the OSCE, at: http://www.osce.org/documents/mcs/1996/12/4049_en.pdf OSCE Istanbul Document 1999, January 2000/Corr., Istanbul Summit Declaration, available on the official website of the OSCE, at: http://www.osce.org/documents/mcs/1999/11/4050_en.pdf
Report of the EU/U.S./Russia Troika on Kosovo, December 4, 2007, available on the official website of the International Civilian Office Kosovo, at: http://www.ico-kos.org/?id=6 Resolution 1633 (2008) of the Parliamentary Assembly of the Council of Europe on the Consequences of the War between Georgia and Russia [2 October 2008], available on the official website of the Council of Europe, at: http://assembly.coe.int/ASP/Doc/ATListingDetails_E.asp?ATID=11016 Resolution 1647 (2009) of the Parliamentary Assembly of the Council of Europe on the Implementation of Resolution 1633 (2008) on the Consequences of the War between Georgia and Russia [28 January 2009], available on the official website of the Council of Europe, at: http://assembly.coe.int/ASP/Doc/ATListingDetails_E.asp?ATID=11043 Report of the Independent International Fact-Finding Mission on the Conflict in Georgia, September 2009, available on the website of the Mission, at: http://www.ceiig.ch/Report.html
Domestic Legislation Article 107 of the Constitution of the Georgian Democratic Republic adopted by the Constituent Assembly on 21 February 1921, available on the website of the Regionalism Research Center, at: http://www.rrc.ge/law/konstG_1921_02_21_e.htm?lawid=108&lng_3=en
Constitution of the Soviet Socialist Republic of Abkhazia of 1925 (in Russian), in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994 (p. 489);
Constitution of the Socialist Federal Republic of Yugoslavia of 21 February 1974, in: W. B. Simons (ed.), The Constitutions of the Communist World, Alphen aan den Rijn et al., 1980 (p. 423);
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Constitution (Fundamental Law) of the Union of Soviet Socialist Republics of 7 October 1977, in: W. B. Simons (ed.), The Constitutions of the Communist World, Alphen aan den Rijn et al., 1980 (p. 343);
Public Law 96-8, 96th Congress, Taiwan Relations Act [April 10, 1979], in: ILM, Vol. XVIII, 1979 (p. 873);
Law of the Soviet Socialist Republic of Georgia on Changes and Amendments to the Constitution (Basic Law) of the Georgian SSR, 18 November 1989, (Article 69), available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/files/426_5647_883674_2.pdf
Decree issued at the 13th Extraordinary Session of the Supreme Council of the 11th Convocation of the Georgian SSR on Guarantees for Protection of State Sovereignty of Georgia, 9 March 1990, available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/files/1_918_906655_2.pdf Law on Procedures for Resolving Questions Related to the Secession of Union Republics from the USSR of 3 April 1990, in: H. Hannum (ed.), Documents on Autonomy and Minority Rights, Dordrecht et al., 1993 (p. 753);
Decree issued by the Supreme Council of the Georgian SSR on introduction of amendments to the decree issued by the Supreme Council of the Georgian SSR on March 9, 1990 “Guarantees for Protection of State Sovereignty of Georgia”, 20 June 1990, available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/files/1_918_428220_3.pdf Law of the Georgian SSR on Elections to the Supreme Soviet of Georgia (18 August 1990), available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/archive/3784g/3784g-01.pdf Resolution of the Supreme Soviet of the Abkhaz ASSR of 25 August 1990 “On Legal Guarantees for Protection of Statehood of Abkhazia” (in Russian), in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994 (p. 482);
Resolution of the Congress of the People’s Deputies of the RSFSR on the Situation in South Ossetia (in Russian), 31 March 1991, in: Konflikty v Abxazii i Yuzhnoi Osetii, Dokumenty 1989-2006 gg., (Conflicts in Abkhazia and South Ossetia, Documents 1989-2006), Prilozhenie k «Kavkazskomu sborniku», Vypusk № 1 (Supplement to the “Caucasian Digest”, Issue № 1), compiled and commented by M. A. Volkhonskii et al., Moscow, 2008 (p. 246);
Resolution of the Supreme Soviet of the Republic of Abkhazia “On Termination of the 1978 Constitution of the Abkhaz ASSR” (in Russian), 23 July 1992, in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994 (p. 488);
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The Decree of the Parliament of Georgia on the Legislative Practice of Apartheid and Racism in the Abkhaz Autonomous Republic (in Russian), 10 March 1994, in: Konflikty v Abxazii i Yuzhnoi Osetii, Dokumenty 1989-2006 gg., (Conflicts in Abkhazia and South Ossetia, Documents 1989-2006), Prilozhenie k «Kavkazskomu sborniku», Vypusk № 1 (Supplement to the “Caucasian Digest”, Issue № 1), compiled and commented by M. A. Volkhonskii et al., Moscow, 2008 (p. 77);
Constitution of the Russian Federation, available on the official web portal of the President of Russia, at: http://www.kremlin.ru/eng/articles/ConstEng3.shtml
Constitutional Charter of the State Union of Serbia and Montenegro, 4 February 2003, available online in UNHCR Refworld, at: http://www.unhcr.org/refworld/docid/43e7547d4.html Anti-Secession Law (Adopted at the Third Session of the 10th National People’s Congress on March 14, 2005), available on the official website of the National People’s Congress of the People’s Republic of China, at: http://www.npc.gov.cn/englishnpc/Law/2007-12/13/content_1384099.htm
Resolution of the Parliament of Georgia N3483 on the Peacekeeping Forces Located on the Territory of Georgia (18 July 2006), available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/index.php?lang_id=ENG&sec_id=98&info_id=13089
Decree of the President of the Russian Federation on Recognition of the Republic of South Ossetia (in Russian), № 1261 (26 August 2008), available on the official web portal of the President of Russia, at: http://document.kremlin.ru/doc.asp?ID=047560
Resolution of the Parliament of Georgia N243 on the Occupation of the Georgian Territories by the Russian Federation (28 August 2008), available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/index.php?lang_id=ENG&sec_id=98&info_id=20047
International Agreements Convention on Rights and Duties of States, Montevideo, 26 December 1933, reprinted in: AJIL, Vol. 28, 1934 (with Supplement), Official Documents (p. 75);
Charter of the United Nations, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995 (p. 1);
Statute of the International Court of Justice, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995 (p. 438);
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Treaty of Guarantee signed at Nicosia, on 16 August 1960, UNTS, Vol. 382, No. 5475, available on the official website of the UN, at: http://untreaty.un.org/unts/1_60000/11/17/00020815.pdf
Vienna Convention on the Law of Treaties (1969), UNTS, Vol. 1155, No. 18232 (p. 331);
Information regarding the Sino-US Joint Communiqué of 1972 available on the official website of the Ministry of Foreign Affairs of the People’s Republic of China, at: http://www.fmprc.gov.cn/eng/ziliao/3602/3604/t18006.htm
Agreements Establishing the Commonwealth of Independent States [Done at Minsk, December 8, 1991, and done at Alma Ata, December 21, 1991], in: 31 ILM 138 (1992);
Agreement on the Principles for Settling the Georgian-Ossetian Conflict (in Russian), signed in Sochi on 24 June 1992, available on the website of the Office of the State Minister of Georgia for Reintegration, at: http://smr.gov.ge/uploads/file/Dagomis%20Accord.pdf Protocol № 3 of the Session of the Joint Control Commission of 12 July 1992 (in Russian), Vladikavkaz, available on the website of the Office of the State Minister of Georgia for Reintegration, at: http://smr.gov.ge/file/1992-07-12_Protocol_3_Vladik.pdf
Agreement on a Ceasefire and Separation of Forces, signed in Moscow on 14 May 1994, in: Key texts, Documents relating to the Georgia-Abkhazia peace process, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999 (p. 69);
Agreement on the Further Development of the Process for the Peaceful Settlement of the Georgian-Ossetian Conflict and on the Joint Control Commission, signed in Moscow on 31 October 1994, available on the website of the Office of the State Minister of Georgia for Reintegration, at: http://smr.gov.ge/en/tskhinvali_region/legal_documents/peace_format_documents Memorandum on Measures for Ensuring the Security and Reinforcement of Mutual Confidence between the Parties of the Georgian-Ossetian Conflict (in Russian), signed in Moscow on 16 May 1996, in: Konflikty v Abxazii i Yuzhnoi Osetii, Dokumenty 1989-2006 gg., (Conflicts in Abkhazia and South Ossetia, Documents 1989-2006), Prilozhenie k «Kavkazskomu sborniku», Vypusk № 1 (Supplement to the “Caucasian Digest”, Issue № 1), compiled and commented by M. A. Volkhonskii et al., Moscow, 2008 (p. 299);
Rambouillet Accords, Interim Agreement for Peace and Self-Government in Kosovo of 23 February 1999, UNSC, S/1999/648 (7 June 1999), available on the official website of the UN, at: http://un.org/peace/kosovo/99648_1.pdf
Rambouillet Accords, Interim Agreement for Peace and Self-Government in Kosovo of 23 February 1999, available on the official website of the U.S. Department of State, at: http://www.state.gov/www/regions/eur/ksvo_rambouillet_text.html
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Military Technical Agreement between the International Security Force (“KFOR”) and the Governments of the Federal Republic of Yugoslavia and the Republic of Serbia (9 June 1999), available on the official website of the NATO, at: http://www.nato.int/kosovo/docu/a990609a.htm
Official Letters, Addresses, Statements and Declarations Letter dated 15 November 1983 from President Rauf Denktaş to the UN Secretary-General, in: N. M. Ertekün, The Cyprus Dispute and the Birth of the Turkish Republic of Northern Cyprus, Nicosia North, 1984, Appendix A (p. 124);
Declaration of establishment of the TRNC as an independent state (15 November 1983), in: N. M. Ertekün, The Cyprus Dispute and the Birth of the Turkish Republic of Northern Cyprus, Nicosia North, 1984, Appendix B (p. 127);
Address to the People’s Deputies of the USSR in July 1989 (in Russian), in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994 (p. 469);
Declaration on the State Sovereignty of the Abkhaz Soviet Socialist Republic of 25 August 1990 (in Russian), in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994 (p. 479);
Protocol on Meeting and Negotiations conducted between the Chairman of the Supreme Council of the Russian Soviet Federal Socialistic Republic and the Chairman of the Supreme Soviet of the Republic of Georgia (in Russian), Kazbegi, 23 March 1991, in: Konflikty v Abxazii i Yuzhnoi Osetii, Dokumenty 1989-2006 gg., (Conflicts in Abkhazia and South Ossetia, Documents 1989-2006), Prilozhenie k «Kavkazskomu sborniku», Vypusk № 1 (Supplement to the “Caucasian Digest”, Issue № 1), compiled and commented by M. A. Volkhonskii et al., Moscow, 2008 (p. 246);
Declaration of the Supreme Soviet of the Republic of Abkhazia of 10 February 1994 (in Russian), in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994 (p. 507);
Statement on the Meeting between the Georgian and Abkhaz Parties (Tbilisi, 14 August 1997), in: Key texts, Documents relating to the Georgia-Abkhazia peace process, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999 (p. 71);
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Letter dated 4 June 1999 from the Permanent Representative of France to the United Nations addressed to the Secretary-General, Annex: Rambouillet Accords, Interim Agreement for Peace and Self-Government in Kosovo of 23 February 1999, UNSC, S/1999/648 (7 June 1999), available on the official website of the UN, at: http://un.org/peace/kosovo/99648_1.pdf
Regulation No. 1999/1, UNMIK / REG / 1999/1 of 25 July 1999, On the Authority of the Interim Administration in Kosovo, available on the official website of the United Nations Interim Administration Mission in Kosovo, at: http://www.unmikonline.org/regulations/unmikgazette/02english/e1999regs/e1999regs.htm Act of State Independence of the Republic of Abkhazia (12 October 1999) available on the website of the Unrepresented Nations and Peoples Organization (UNPO), at: http://www.unpo.org/content/view/705/236/
Constitutional Framework for Provisional Self-Government UNMIK/REG/2001/9 – 15 May 2001, available on the official website of the United Nations Interim Administration Mission in Kosovo, at: http://www.unmikonline.org/constframework.htm UNSC, Statement by the President of the Security Council, S/PRST/2005/51, of 24 October 2005, available on the official website of the UN, at: http://www.un.org/Docs/sc/unsc_pres_statements05.htm Statement by The Contact Group on The Future of Kosovo – London 31 January 2006 (31/01/06), available on the official website of the United Nations Office of the Special Envoy for Kosovo, at: http://www.unosek.org/unosek/en/docref.html
Letter dated 26 March 2007 from the Secretary-General addressed to the President of the Security Council, Report of the Special Envoy of the Secretary-General on Kosovo’s future status, UNSC, S/2007/168, 26 March 2007, available on the official website of the United Nations Office of the Special Envoy for Kosovo, at: http://www.unosek.org/docref/report-english.pdf Letter dated 26 March 2007 from the Secretary-General addressed to the President of the Security Council, Addendum: Comprehensive Proposal for the Kosovo Status Settlement, UNSC, S/2007/168/Add. 1, 26 March 2007, available on the official website of the United Nations Office of the Special Envoy for Kosovo, at: http://www.unosek.org/docref/Comprehensive_proposal-english.pdf President of Russia, Statements on Major Issues, Opening Remarks at a Meeting with the leaders of parties represented in Russian Parliament, 11 August 2008, The Kremlin, Moscow, available on the official web portal of the President of Russia, at: http://kremlin.ru/eng/speeches/2008/08/11/1924_type82912type84779_205145.shtml Statement of the Ministry of Foreign Affairs of Georgia issued on 27 August 2008, available on the official website of the Ministry of Foreign Affairs of Georgia, at: http://www.mfa.gov.ge/index.php?lang_id=ENG&sec_id=59&info_id=7769
lvi
General Assembly, 63rd session, Statement by H.E. Mr. Boris Tadić, President of the Republic of Serbia, New York, 23 September 2008, available on the official website of the UN, at: http://www.un.org/ga/63/generaldebate/pdf/serbia_en.pdf
Statement by the Foreign Minister of the Republic of Kosovo H.E. Skender Hyseni to the United Nations Security Council, New York, 17 June 2009, available on the official website of the Ministry of Foreign Affairs of the Republic of Kosovo, at: http://www.ks-gov.net/MPJ/Ministry/Minister/Speeches/tabid/149/ItemId/231/Default.aspx
Interviews and Press Conferences The Transcript of the Press Conference of the Secretary-General of the United Nations, U Thant, held in Dakar, Senegal (4 January 1970), in: UN Monthly Chronicle, Vol. VII, 1970 (p. 34);
Interview des Präsidenten der Republik China, Lee Teng-hui, mit der Deutschen Welle am 9. Juli 1999, available on the website of the Journal Internationale Politik (IP), at: http://www.internationalepolitik.de/archiv/jahrgang1999/september99/
President of Russia, Transcript of the Press Conference for the Russian and Foreign Media, January 31, 2006, Circular Hall, The Kremlin, Moscow, available on the official web portal of the President of Russia, at: http://www.kremlin.ru/eng/
Official Internet Sites and other Electronic Sources Ministry of Foreign Affairs of Georgia: http://www.mfa.gov.ge/
President of Russia: http://www.kremlin.ru/
Serbian Government: http://www.srbija.gov.rs/
Institutions of Republic of Kosovo: http://www.ks-gov.net/portal/eng.htm
Government of Timor-Leste: http://www.timor-leste.gov.tl/
Government Information Office, Republic of China: http://www.gio.gov.tw/
TRNC Public Information Office: http://www.trncpio.org/
Ministry of Foreign Affairs of the “Republic of Abkhazia”: http://www.mfaabkhazia.org/ United Nations: http://www.un.org/en/
United Nations Office of the Special Envoy for Kosovo: http://www.unosek.org/ NATO: http://www.nato.int/cps/en/natolive/index.htm
CIA: https://www.cia.gov/
lvii
International Civilian Office Kosovo: http://www.ico-kos.org/
Civil.ge – Daily News Online: http://www.civil.ge/eng/ BBC News: http://www.bbc.co.uk/
Miscellanea G. Anchabadze, History of Georgia, Georgian Kingdoms in the Late Antique Period (the IV cen. B.C. – V cen.), available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/pages/archive_en/history/his2.html Keesing’s Record of World Events, Vol. 36, 1990;
Keesing’s Record of World Events, Vol. 37, 1991;
Keesing’s Record of World Events, Vol. 38, 1992;
J. R. Fox (ed.), Dictionary of International and Comparative Law, Dobbs Ferry, N.Y., 1992;
Georgien 1989-1993: Statistik wichtigster Ereignisse, in: Menschenrechte in der GUS-Republik Georgien 1994, Berichte-Dokumente-Schicksale, IGFM (Hrsg.), Verfasserin: W. Wahnsiedler;
D. Nohlen et al. (Hrsg.), Lexikon der Politik, Bd. 7, Politische Begriffe, München, 1998;
B. A. Garner et al. (eds.), Black’s Law Dictionary, 7th ed., St. Paul, Minn., 1999;
Chronology of events, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999, p. 80;
Georgia: Avoiding War in South Ossetia (26 November 2004), International Crisis Group, Europe Report № 159;
Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176;
Georgia-Russia: Still Insecure and Dangerous, International Crisis Group Policy Briefing, Europe Briefing № 53, 22 June 2009.
1
Abstract
Various ethnic groups and peoples of the globe fight for their future and the
right of self-determination. Sometimes, after the factual withdrawal from the
ambit of the authority of a “mother state”, they manage to gain de facto
control over the contested territory, and in doing so, they assert the claim to
separate existence. Indeed, there are various conflicts on our planet inspired
by the idea of self-determination of peoples and it is extremely difficult to
pass a judgment on those claims because somebody has to decide whether
those aspirations are justified or not. The decision in question has to be
taken on the international plane, i.e. according to the norms and principles
of the international legal order.
But the present study is not aimed at evaluating the legitimacy of a claim to
self-determination in each and every single case. The subject matter of my
dissertation is a possible product of secessionist aspirations. My doctoral
thesis has an objective to clarify the status of a de facto state within the
realm of public international law on the basis of a legal appraisal of the
principle of effectiveness.
Although it has been asserted that international law can accommodate de
facto states by conceptual means as it is a flexible system adaptable to new
developments1, de facto states are still a problem. The reason is that
generally, they exist somewhere on the edge of the international community,
they are not fully integrated into the international system. It has to be
stressed that this ambiguity concerning the status of the entities mentioned
above has also affected international legal literature in that it promoted
keeping these territorial units in the “shadow”2. Nevertheless, as has already
been mentioned above, there is one concept that is informative with regard
to de facto states, this is the principle of effectiveness, the latter representing
the foundation of a de facto state’s existence. The fact that, in contrast to the
different nation states of our planet, there are neither central legislative
1 See S. Pegg, International Society and the De Facto State, Aldershot / Brookfield, 1998, p. 244 2 “The combination of their small size, their limited numbers, their ambiguous status, and their conventional goals (sovereignty as constitutional independence) have all kept de facto states out of the international theoretical limelight.”, Ibid., p. 246 (italics in original)
2
organs nor central law-enforcement authorities at the international level,
makes the informative principle of effectiveness an issue of overwhelming
importance if one tries to examine the status of the de facto state.
International legal order is a system created by states as they are legislators
and, at the same time, addressees of international legal rules, and the
principle of effectiveness, being a mediator between the established factual
situation, i.e. the de facto state, and public international law, stands out
against this background as an expression of the factual state of affairs.
Definition of the Subject Matter
The objective of this doctoral dissertation is to clarify the status of a de facto
state within the realm of public international law. In order to carry out this
task, it is important to fix the definition of the subject that has to be
examined throughout the study. It follows that I use the term “de facto
state” instead of “de facto regime”. It is momentous to explain the
delimitation of the subject in question towards this concept.
De facto regime
With regard to the notion of the “de facto regime” it has to be stressed that,
in my opinion, the word “regime” is too narrow to encompass all those
difficult constellations which are connected with de facto territorial
situations. The notion of “regime” denotes the subjective nature of the
situation involved. But, as the starting point of my study is the issue of
statehood, the subject of the paper has to be introduced and examined by
objective means, the concept, as such, must be one with objective
characteristics. For the purpose of public international law the word
“regime” has the following implications:
“1) The current government of a territory. 2) A set of rules which apply to a
particular place or activity [...]”3
3 J. R. Fox (ed.), Dictionary of International and Comparative Law, Dobbs Ferry, N.Y., 1992, p. 372
3
Black’s Law Dictionary refers to the notion of an “international regime” and
also clarifies the essence of a “legal regime”. Both manifestations have been
described as “a set of rules, policies, and norms of behaviour [...] that
facilitate substantive or procedural arrangements”4 in respective fields.
It has to be noted that a de facto state is a “political animal”5 and the word
“regime” has its definition within the realm of politics as such. It must be
stressed that it is again a respective form of government which occupies the
prominent place in the definition mentioned above, as reference has been
made to authoritarian or military regimes in this sense.6
The subject of examination in this study is more than a government of a
respective territory. A distinction has to be made between a de facto state
and a de facto government. This latter manifestation of a de facto situation
exists when there is a recognized state controlled by an unrecognized
government. In contrast to this state of affairs, the scope of examination of
the present project is focused on an unrecognized territorial unit, as such,
bearing in mind an issue of overwhelming importance, namely the question
of statehood within the realm of public international law. Thus, it is evident
that the notion of a “de facto regime” does not express the dimensions of the
situation which has to be regarded as the subject of examination of the
present study.
Why the term “de facto state”?
I have decided to use the term “de facto state” because it expresses the
objective character of territorial situations irrespective of the status of elites
governing the territorial unit in question. It is apparent that the term “de
facto state” describes the dimensions of the situation which has to be
examined in this study. The question of self-contained existence is of
particular relevance to my project: is there a real self-contained regime in
which a de facto territorial unit exists or is its standing governed by the
4 B. A. Garner et al. (eds.), Black’s Law Dictionary, 7th ed., St. Paul, Minn., 1999, p. 1286 5 S. Pegg, International Society and the De Facto State, Aldershot / Brookfield, 1998, p. 29 6 See D. Nohlen et al. (Hrsg.), Lexikon der Politik, Bd. 7, Politische Begriffe, München, 1998, p. 548
4
international legal order? These are the issues which will be addressed in
my doctoral thesis and which confirm the relevance of the concept of “de
facto state” to the project.
Distinct concepts by different scholars
Pål Kolstø
It has to be stressed at this point that different terms have been suggested in
international legal and political literature describing the situation which is
the subject of examination of the present study. According to Kolstø, there
is terminological confusion with regard to the notion of “quasi-states” as
this designation is frequently used in respect of manifestations representing
two opposite poles: the first one is a recognized state which has no effective
machinery to assert factual control over its whole territory, the second case
refers to the situation in which a region of a respective state has seceded
from that state and has gained effective territorial control over a portion of
the land claimed by its elites, but the lack of recognition is its essential
feature. The author asserts that “in order to clear up this confusion,
recognized but ineffectual states ought to be referred as ‘failed states’, while
the term ‘quasi-states’ ought to be reserved for unrecognized, de facto
states.”7 This conclusion is a convincing one and it entails a clear
differentiation between individual characteristics of the situations depicted
above.
It is of overwhelming importance to note that the concept of sovereignty is
crucial in the context of clarifying the status of the territorial entities
involved. Kolstø asserts that modern states are in possession of double
sovereignty: internal (vis-à-vis their citizens) and external (vis-à-vis foreign
states) and it follows that failed states and quasi-states represent deviations
from this “normal” situation as the first category lacks internal sovereignty
despite its international recognition and in the second case “the state as such
is not accepted by the international community as legitimate.”8 It has to be
7 P. Kolstø, The Sustainability and Future of Unrecognized Quasi-States, in: Journal of Peace Research, Vol. 43, 2006, p. 723 8 Ibid., p. 724
5
stressed that the decisive question in this instance is that of external
sovereignty because the denial of status is not based on the assessment of a
state’s internal capabilities, the reason is that the entity in question has
emerged on the basis of a secession from the ambit of the authority of a
“mother state” and the loss of territory, as such, is not accepted by the
latter.9 Bearing in mind these considerations, it becomes evident that the
interplay of dimensions of the notion of sovereignty is a decisive matter.
Michael Rywkin
Rywkin refers to “quasi-states” and introduces their characteristic features:
detachment from a “parent state” as a result of an ethnic or religious conflict
or state disintegration, the wrong policy of a respective “mother state”
causing fear among the population of the territory in question, existence of
an outside protector supporting the claims of the quasi-state, lack of
substantial recognition of the quasi-state, the fact that despite their need for
external support, these territorial units function like real states.10
Charles King
King uses the term “unrecognized states” while referring to respective
territories located in Eurasia and describes these entities in the following
manner: “All have the basic structures of governance and the symbols of
sovereignty. All have military forces and poor but working economies. All
have held elections for political offices.”11 This statement demonstrates
once again that the territorial units in question operate like genuine states.
Randall Baker
Baker mentions “‘states’ that exist de facto but not de jure.”12 At the same
time, the author describes these entities as “non-places” existing in an
“unacknowledged condition”13.
9 Ibid. 10 M. Rywkin, The Phenomenon of Quasi-states, in: Diogenes, Vol. 53, 2006, p. 27 11 C. King, Eurasia’s Nonstate States, in: East European Constitutional Review, Vol. 10, 2001, p. 99 12 R. Baker, Challenges to Traditional Concepts of Sovereignty, in: Public Administration and Development, The International Journal of Management Research and Practice, Vol. 20, 2000, p. 7 (emphasis and italics in original) 13 Ibid.
6
Vladimir Kolossov / John O’Loughlin
The variety of approaches with regard to the terminology employed while
describing the subject in question also covers the notion of “pseudo-states”.
It is the manifestation depicted as an “institutionalized pseudo-state” which
causes academic interest because these entities represent territorial units that
have declared sovereignty, are in possession of all the necessary attributes
of a ‘normal’ state, control their respective territories, but are not recognised
as states (and have little chance of recognition).14
Deon Geldenhuys
The term “isolated state” has been suggested by Geldenhuys in order to
define respective territorial situations.15 It has also been stressed by this
author that the designations “pariah” and “outcast” have been used on the
international plane but he prefers to use the term “ostracised state”16 in this
context.
Dov Lynch
Lynch describes de facto territorial units as “separatist states”17. The author
asserts that post-Soviet entities of this kind derive support from two legal
sources which should guarantee their legitimacy. The first one is considered
to be an empirical definition of sovereignty based on the 1933 Montevideo
Convention and denoting the fulfillment of necessary conditions in order to
be regarded as a bearer of positive sovereignty. This means that the entity in
question satisfies the traditional or empirical criteria for statehood and
provides governmental services to its population. The second source of
legitimacy is based on the right of peoples to self-determination. Respective
elites claim that the right of all peoples to self-determination is applied to
the territory and population they represent.18 It has been stressed by the
author that the demand for statehood has its historical or moral backing and, 14 V. Kolossov / J. O’Loughlin, Pseudo-States as Harbingers of a New Geopolitics: The Example of the Trans-Dniester Moldovan Republic (TMR), in: Geopolitics, Vol. 3, 1998, p. 155 15 D. Geldenhuys, Isolated States: A Comparative Analysis, in: S. Smith et al. (eds.), Cambridge Studies in International Relations: 15, Cambridge et al., 1990, p. 4 16 Ibid., p. 16 (italics in original) 17 D. Lynch, Separatist states and post-Soviet conflicts, in: International Affairs, Vol. 78, 2002, p. 831 18 Ibid., pp. 836-837
7
on the basis of this contributing factor, respective elites in de facto territorial
units assert their claim to absolute sovereignty, because any compromise
would be considered an expression of injustice bearing in mind the fact that
separatist leaders “insist on an inherent moral entitlement to self-
determination in the face of ‘alien’ and ‘imposed’ rule.”19
It has to be noted at this point that the term “self-declared state” has been
employed by the same author in another article with regard to the
Pridnestrovyan Moldovan Republic, the Republic of South Ossetia, the
Republic of Abkhazia and the Nagorno-Karabakh Republic.20 Sometimes
these entities are described as “breakaway regions” because the mode of
their emergence is, in most cases, the notion of secession from a “mother
state”. Lynch asserts that it is wrong to designate these areas as “breakaway
regions”. According to him, separatism has to be regarded in these
territories as a political project in furtherance of a people’s right to self-
determination: “The fundamental project in each region has been the
construction of the political institutions of independent statehood.”21 The
second argument is that statehood that has been declared, serves as an
impediment to progress which has to be achieved in respect of the conflict
settlement.22
The third reason is that separatist movements seeking the realization of the
right of peoples to self-determination aspire after statehood, as such,
because of the absolute nature of state sovereignty, other forms of existence
are not suitable for them.23 It has been stressed by the author that the issue
of statehood is attractive to the elites because recognized sovereignty
denotes protection, and guarantees a place in the international society of
states, meaning the application of the principles of territorial integrity and
equal sovereignty and the norm concerning non-intervention: “The
separatist ‘state’ is not protected by the rules governing the legal state
19 Ibid., p. 837 (emphasis in original) 20 See D. Lynch, De facto ‘States’ around the Black Sea: The Importance of Fear, in: Southeast European and Black Sea Studies, Vol. 7, 2007, p. 484 21 Ibid., p. 486 22 Ibid. 23 Ibid.
8
regime, […] This system pushes a separatist area towards the pursuit of full
state sovereignty.”24
The issue of statehood and the notion of secession, their relevance to the subject matter
It is evident from these considerations that striving for statehood is an
essential feature of de facto territorial units and this circumstance is of great
importance with regard to the present study as it represents the “starting
point” for the examination of the status of those entities. This assertion has
been confirmed by Radoman. According to her, respective elites of South
Ossetia and Abkhazia emphasize that the institutions established in these
areas can function as “normal” political organs and as a result, the territorial
units in question can survive outside the ambit of the authority of a “mother
state”, i.e. Georgia: “In this way both the rebels and secessionists seek to
obtain the legitimacy of state creators.”25 It is obvious that those elites try to
legitimize their claims by asserting that they do create states, as such. In
order to achieve this goal, it is necessary to find an appropriate form to
further those claims. But, first of all, it is momentous to “initiate a process”,
namely the process which would underscore the distinctiveness of the ethnic
group in question. The notion of a secessionist bid is exactly the issue that
encompasses the dynamics of this whole advance:
“Secessionist conflicts are defined here as violent confrontations between a
state and an armed grouping seeking to take control over territory within the
state with the aim of establishing an independent state.”26
The question of secession is of great importance because it essentially
denotes the mode of the emergence of a de facto territorial unit and it will be
argued in the present paper that the status of that unit is strongly dependent
upon the circumstances in which such an emergence took place.
24 Ibid., p. 487 (emphasis in original) 25 J. Radoman, Future Kosovo Status-Precedent or Universal Solution, in: Western Balkans Security Observer-English Edition, Issue no. 3, 2006, p. 17 26 P. K. Baev, Russia’s Stance Against Secessions: From Chechnya to Kosovo, in: International Peacekeeping, Vol. 6, 1999, p. 73
9
The concept of a “de facto state” and its dimensions
Definition of the term
It is essential at this stage to introduce the highly probable result of a
secessionist attempt mentioned above, i.e. the definition of the subject of my
dissertation together with its dimensions. These theoretical considerations
rest on Pegg’s definition of the de facto statehood and its characteristic
features. The explanation mentioned above is of such importance that it has
to be quoted at some length:
“A de facto state exists where there is an organized political leadership
which has risen to power through some degree of indigenous capability;
receives popular support; and has achieved sufficient capacity to provide
governmental services to a given population in a specific territorial area,
over which effective control is maintained for a significant period of time.
The de facto state views itself as capable of entering into relations with
other states and it seeks full constitutional independence and widespread
international recognition as a sovereign state. It is, however, unable to
achieve any degree of substantive recognition and therefore remains
illegitimate in the eyes of international society.”27
This is the definition of de facto statehood which must be regarded as a
starting point within the framework of the present thesis. It has to be
stressed that all these elements that supplement each other and represent in
conjunction the notion of the de facto state, can vary with regard to different
situations. For example, one entity can enjoy more popular support than
another or can exist for a longer period of time etc.
The main feature of the de facto state is that it enjoys effective control over
the territory in question but this control is not recognized by the
international community. This lack of substantive recognition is its
hallmark. The effectiveness of respective entities is informative with regard
to their status because it represents the “basis” of their existence. Thus, the
principle of effectiveness is the focus of my paper. Moreover, it is a central
27 S. Pegg, International Society and the De Facto State, Aldershot / Brookfield, 1998, p. 26
10
question, the subject of examination in connection with the status of the de
facto state.
Dimensions of de facto statehood
The following dimensions of de facto statehood have been mentioned by
Pegg in order to distinguish the de facto state from other territorial units: 1)
de facto states vs. a power vacuum or state-less situation; 2) de facto states
vs. riots, terrorists, sporadic violence and random banditry; 3) perseverance,
length of time; 4) there is a goal and the goal is sovereignty as constitutional
independence; 5) secession vs. emigration, the need for a territorial
justification; 6) de facto states vs. puppet states; 7) de facto states vs.
peaceful secession movements; 8) de facto states vs. other non-sovereign
entities with greater international legitimacy; 9) de facto states vs. the
premature recognition of colonial liberation movements; 10) democratic
accountability.28
The first criterion denotes that generally, a de facto state effectively controls
part of a “mother state” but it does not mean that each and every single
situation where this state cannot exercise power with regard to the part of its
own territory, leads to the creation of the de facto state. The second criterion
refers to the de facto state as a system having clear political goals, providing
governmental services and enjoying a high degree of popular support.
Of course, there are no mandatory requirements with regard to the period of
time needed for the existence of a de facto state. This period can differ in
various situations. But it is interesting that the de facto status of a territorial
entity existing for less than one month has been rejected by the author and
two years have been established “as the minimum time period necessary to
qualify as a de facto state.”29
Although a de facto state can be forced to accept another status, its goal is
primarily to achieve sovereignty as constitutional independence, so it does
not seek other arrangements within an existing state. The fifth criterion 28 Ibid., p. 29 29 Ibid., p. 32 (italics in original)
11
expresses territorial concern of the de facto state’s claims as it “seeks to
secede from the existing state and to take its territory with it.”30 In doing so,
it tries to establish a claim with regard to the territory in question, the claim
which could be justified. This justification is declared to be self-
determination of peoples, a concept favoured by leaders of the de facto
state. An important link is made between the self-determination of peoples
and the de facto state in this way: the link is the notion of secession with its
territorial dimension. With regard to criterion number six it can be asserted
that the development of a de facto state in the direction of puppet statehood
is not excluded but, generally speaking, these two entities are different. A
puppet state is controlled by a foreign power and enjoys less popular
support than a de facto one.
One important feature that differentiates peaceful secession movements
from de facto states is an agreement between a “mother state” and a
secessionist entity on the issue of secession, the agreement that is followed
by respective arrangements. According to criterion number eight, a
distinction can be made between the status of a de facto state and the status
of a protectorate or colony, or the territory which is associated with another
state by constitutional means, the status that was chosen by a respective
entity. As is evident from criterion number nine, it refers to the colonial
situation, namely to the colonial liberation movements. It is expressed in the
tenth criterion that the de facto state with a democratic system has a better
chance of success in the end. As the democratic form of governance is
generally favoured, there is a supposition that the international community
will be sympathetic towards such an entity. Of course, this does not mean
that a democratic system is a guarantee of future success.
Lack of “substantive recognition” – a hallmark of de facto statehood
It must be noted that the comparison between empirical and juridical
dimensions of statehood is an integral part of Pegg’s definition cited above.
30 Ibid., p. 35
12
Moreover, it represents the core of a subject. Empirical statehood rests on
the principle of effectiveness, i.e. the traditional criteria for statehood
enshrined in the Montevideo Convention of 193331and the juridical criteria
are essentially based on the principle of legitimacy. These two aspects of the
question of statehood are of overwhelming importance with regard to my
project as the issue of statehood itself represents the starting point in respect
of the examination of the de facto state’s status. Lynch has acknowledged
the relationship of tension between these two elements inherent in the
definition quoted above and he notes the following: “In this light, the de
facto ‘state’ has no judicial right to claim a certain territory as this land
already is part of a recognised state. However, such an entity may make the
case for an empirically defined claim to statehood.”32
Thus, the subject of the present thesis is to clarify the status of the de facto
state on the basis of the principle of effectiveness. In order to perform this
task, it is inevitable to consider the issue of statehood, as such, i.e. to make a
careful assessment of the situation connected with the criteria for statehood.
The reason is that de facto states are territorial entities which carry out the
normal functions of a state, and which (generally) enjoy the support of
significant parts of their population, but they are not “de jure states”,
because they are not sanctioned by the international order.33
It follows that de facto states do have a problem of substantial character as
their existence is not “sanctioned” by the international system. But if these
territorial entities are not “sanctioned”, where do they function? Where is
the place of de facto states? An answer has been provided with regard to the
environment in which these territorial units operate. This situation
represents “a state of no peace and no war, where de facto states survive in a
functional state of legal limbo.”34 Clarification of the status of the de facto
state requires an introduction of the position occupied by it. The objective of
31 The issue of traditional criteria for statehood will be addressed below and respective developments with regard to this question will also be examined in the present study 32 D. Lynch, De facto ‘States’ around the Black Sea: The Importance of Fear, in: Southeast European and Black Sea Studies, Vol. 7, 2007, p. 485 (italics and emphasis in original) 33 See J. McGarry, Foreword: De facto states and the international order, in: T. Bahcheli et al. (eds.), De Facto States, The quest for sovereignty, London / New York, 2004, p. x 34 W. Kemp, Selfish Determination: The Questionable Ownership of Autonomy Movements, in: Ethnopolitics, Vol. 4, 2005, p. 86 (italics in original)
13
the present study is to demonstrate this standing within the realm of public
international law despite the assertion that “de facto states operate outside
international law [...]”35. The problem of a de facto state’s “unsanctioned
existence” is expressed through the lack of “substantive recognition” of the
territorial entity in question. It is important at this stage to refer to the
essence of this kind of recognition:
“To attain substantive recognition, an entity would need success in at least a
majority of the following five areas. First, it would secure recognition from
some of the major powers of the day […] Second, it would secure
recognition from the existing juridical state which it was seeking to leave, or
at least no objections from them to others recognizing it […] Third, it would
secure recognition from neighbouring countries and countries with which it
shares borders. Fourth, it would secure recognition from a majority of
countries in the UN General Assembly. Fifth, it would be able to participate
in global and regional international organizations.”36
These are the dimensions of the notion of substantive recognition against
which the status of de facto states has to be measured in the part dedicated
to the case studies.
Author’s terminological choice: the concept of the “de facto state”
Bearing in mind the considerations mentioned above and the variety of
terms employed for the description of the territorial unit in question, it has
to be stressed that the definition used in this dissertation is the “de facto
state”. This definition underscores the relevance of the principle of
effectiveness to the subject in question. The territorial unit, the status of
which has to be examined in this study is an expression of the factual state
of affairs, it is a fact, as such. Moreover, it is an accomplished fact and the
“de facto” or factual character of the situation involved means that this
wording falls within the scope of the notion of effectiveness and its
35 Ibid., p. 88 (italics in original) 36 S. Pegg, International Society and the De Facto State, Aldershot / Brookfield, 1998, p. 38
14
manifestations which will be examined in the present paper. According to
Palmer, “De facto is a term used to describe the objective existence of a
state of facts which otherwise lack legal force or effect.”37 This is exactly
the notion that falls within the purview of my thesis as the subject of
examination.
As with regard to the word “state” it has to be noted that the entity in
question represents an aspirant for statehood and the issue of statehood has
to be considered as the starting point with regard to the status of this entity.
Hence, the term “state” has to be established as an appropriate designation
of the subject in question.
37 D. G. Palmer Jr., Taiwan: De Jure or Not De Jure? That is the Question. An Analysis of Taiwan’s Legal Status Within the International Community, in: John F. Kennedy University Law Review, Vol. 7, 1996, footnote 12, p. 68 (italics in original)
15
Outline of the Project and Methodical Approach to the Subject Matter
The present study has an objective of theoretization of law-fact interaction
within the realm of public international law and, at the same time, it is
aimed at introducing the status of the de facto state with reference to the
attitude of the international community towards this kind of territorial entity.
I have divided my doctoral dissertation into two parts encompassing ten
chapters. The first part of my dissertation represents the theoretical
framework dedicated to three different approaches to the principle of
effectiveness: the manifestation known as “normative Kraft des
Faktischen”, the concept of “ex factis jus oritur” and the notion of “fait
accompli”.
The first chapter explores the notion known as “normative Kraft des
Faktischen”, being an expression of the very essence of alleged law-creating
force of effective situations. The second one refers to the concept described
as “ex factis jus oritur”, being an expression of the fulfillment of traditional
or empirical criteria for statehood based on the principle of effectiveness. It
has to be stressed that the issue of statehood will be regarded as a theoretical
“chapeau” and the guideline for the elaboration of the status of the de facto
state within the realm of public international law. In order to rebut the
argument denoting a self-evident normative force of effective situations in
the form of de facto states, the cases of Katanga, Biafra, Southern Rhodesia
and the South African homelands will be referred to in a separate section of
the second chapter.
The notion of “fait accompli” will be considered in the third chapter as the
final “level” of theoretization of the principle of effectiveness. This
manifestation represents the political component of public international law
implying the maintenance of an effective situation as a matter of political
interest pursued by certain members of the international community of
states. The problem of secessionist self-determination is an issue of
overwhelming importance in the context of emergence and existence of de
facto states. Secession will be considered in my dissertation as a means of
creation of the de facto state. So, together with the examination of
16
theoretical approaches to the concept of secession, the fourth chapter will
refer to the case of Chechnya, the latter being an example confirming the
difficulty connected with the realization of secessionist claims.
In the second part of the present thesis, I will explore the peculiarities of
five de facto states on the basis of the case studies: chapter 5 – the
“Republic of China on Taiwan”, chapter 6 – the “Turkish Republic of
Northern Cyprus”, chapter 7 – the “Republic of Kosovo”, chapter 8 – the
“Republic of Abkhazia” and chapter 9 – the “Republic of South Ossetia”. I
will approach each de facto state from a different viewpoint and there will
be no standard approach applicable to all of them. The point here is that
those distinctive features of the territorial units under consideration will be
regarded as particular manifestations of the principle of effectiveness. This
method implies the examination of the normative character of the principle
of effectiveness and is aimed at drawing a respective conclusion with regard
to the normative value of the principle in question.
There will be two common features inherent in the method employed for the
exploration of the status of respective de facto states. I will examine each
case, on the one hand, with reference to its political setting and, at the same
time, in the international legal context. Furthermore, I will apply the
“substantive recognition test” to each and every single case, in order to
clarify the status enjoyed by respective territorial entities.
Following the case studies, the notion of recognition will be addressed. The
concept in question is informative with regard to the very essence of de
facto statehood because the lack of substantive recognition is a hallmark
inherent in the definition of the de facto state and, accordingly, recognition
as a state has its direct impact on the status enjoyed by de facto territorial
entities. The section dedicated to the concept of recognition encompasses
the examination of theoretical considerations and dimensions of recognition
(and non-recognition) of statehood and the practice of recognition.
The present study includes preliminary remarks expressing important
“findings” of my dissertation at different stages of the exploration of the
subject matter. Those results will be summarized in the final section
17
dedicated to the conclusions. The latter embodies the concluding assessment
of the principle of effectiveness in the context of de facto statehood and the
subsequent introduction of the status of the de facto state. But, before
addressing the questions mentioned above, it is important to begin the
exploration of the issue of law-fact interaction in international law and this
will be done in the introductory section submitted below.
18
Introduction: General Problem of Law-Fact Interaction within the Realm of Public International Law
The essence of the “special relationship” of the principle of effectiveness
and public international law in the context of states’ emergence and
existence denotes the relationship of tension between two important
manifestations, namely the law-fact interaction. It is an alleged law-creating
influence of facts which is of decisive importance with regard to the de facto
state. This influence will be examined thoroughly in the present study.
The above mentioned law-creating influence of facts encompasses “many
faces” of the principle of effectiveness: normative Kraft des Faktischen, ex
factis jus oritur and fait accompli. These manifestations have been
examined by eminent legal writers and each “face” of the principle of
effectiveness deserves to be considered appropriately in the context of the
examination of a de facto state’s status under public international law. But
before addressing the issue of different embodiments of the principle of
effectiveness, it is important to refer to the reasons why the notion of
effectiveness has played such a prominent role within the realm of public
international law. Interestingly enough, this reference leads us to the very
nature of the latter, to the core of the international legal system.
Distinguishing features of public international law: why do facts matter?
“We must not confuse the pathology of law with law itself.”38
It is widely recognized that public international law is a sui generis system
of rules and principles39 and differs from the national legal order of a
particular state. One important feature of public international law which is
decisive in the context of the law-fact interaction seems to be its special
38 M. Akehurst, A Modern Introduction to International Law, 5th ed., London, 1984, p. 7 39 See B. Broms, Subjects: Entitlement in the International Legal System, in: R. St. J. Macdonald / D. M. Johnston (eds.), The Structure and Process of International Law: Essays in Legal Philosophy Doctrine and Theory, Developments in International Law, The Hague, 1983, p. 384
19
“vulnerability” to the existence of a particular de facto situation, i.e. the
factual situation determines an emergence of a legal right (or a title) after it
has been firmly established, after it has become effective. It has to be
mentioned that this characteristic of public international law rests on the
decentralized nature of the latter. The lack of a central enforcement organ
has been regarded as a source of alleged “weakness” of this legal system in
the sense that it cannot overcome the reality by effective means, it cannot
regulate facts without “paying tribute” to them:
“Das Völkerrecht muß […] aus eigener Kraft und auf eigenartige Weise
alles das bewirken, was für staatliche Rechtsordnungen der Staat bewirkt.
Will man wissen, um was es sich hierbei handelt, so ergibt sich eine erste
Orientierung dadurch, daß man die Leistungen des Staates für die
staatsverbundenen Rechtsordnungen in Betracht zieht. Man wird finden, daß
jeder dieser Leistungen jeweils eine spezifische Art von Selbsthilfe des
Völkerrechts entspricht. Alle diese Selbsthilfen wiederum werden einen Zug
aufweisen, der hier mit „Prinzip der Effektivität“ bezeichnet und als die
besondere Wirklichkeitsnähe des Völkerrechts verstanden wird.”40
As it has been mentioned above, this “particular proximity to reality”41 finds
a certain degree of justification within the realm of public international law
because the latter lacks central enforcement organs, this system represents a
decentralized one, its nature can also be described as horizontal (contrary to
the vertical national order).42
The national legal system is highly developed. There is a constitution of a
respective state, there are other legal acts that deal with different forms of
jural relations within the internal order and there is an enforcement
machinery that backs this whole system. State authority rests on the
principle of the separation of powers and guarantees the functioning of
domestic institutions:
40 H. Krüger, Das Prinzip der Effektivität, oder: Über die besondere Wirklichkeitsnähe des Völkerrechts, in: D. S. Constantopoulos et al. (Hrsg.), Grundprobleme des Internationalen Rechts, FS für J. Spiropoulos, Bonn / Düsseldorf, 1957, p. 265 41 See G. Kreijen, State Failure, Sovereignty and Effectiveness, Legal Lessons from the Decolonization of Sub-Saharan Africa, Leiden, 2004, pp. 180-181 42 See E. Blenk-Knocke, Zu den soziologischen Bedingungen völkerrechtlicher Normenbefolgung, Die Kommunikation von Normen, Ebelsbach am Main, 1979, p. 64
20
“By contrast, in the international community no State or group of States has
managed to hold the lasting power required to impose its will on the whole
world community. Power is fragmented and dispersed. […] The relations
between the States comprising the international community remain largely
horizontal. No vertical structure has as yet crystallized, as is instead the rule
within the domestic systems of States.”43
One can compare the “particular proximity to reality” of public international
law mentioned above with the structural capabilities of a national legal order
and the result will be following:
“Das staatliche Gesetz kann die Entfernung von Norm und Wirklichkeit
sehr viel weiter bemessen als staatloses Gewohnheits- oder
Vereinbarungsrecht, und das heißt wiederum, daß das staatliche Gesetz von
vornherein sehr viel strengere materielle Anforderungen an die Wirklichkeit
richten kann als ein ohne staatliche Hilfe existierendes Gewohnheits- oder
Vereinbarungsrecht.”44
It is evident that the decisive criterion for Krüger is that of “statelessness of
the international legal order”45 as there is no central authority which could
effectively enforce respective decisions on the international plane. An
emergence of the notion of self-help within the realm of public international
law is connected with this statelessness (Unstaatlichkeit) of the international
legal order, it follows that public international law is regarded as a weak
system and its realization depends on the interests of respective powers.46
Another author argues in the same sense that the effectiveness of public
international law strongly depends on its social foundation as it represents
the system without a central authority:
43 A. Cassese, International Law, Oxford, 2001, p. 5 (italics in original) 44 H. Krüger, Das Prinzip der Effektivität, oder: Über die besondere Wirklichkeitsnähe des Völkerrechts, in: D. S. Constantopoulos et al. (Hrsg.), Grundprobleme des Internationalen Rechts, FS für J. Spiropoulos, Bonn / Düsseldorf, 1957, p. 266 45 See G. Kreijen, State Failure, Sovereignty and Effectiveness, Legal Lessons from the Decolonization of Sub-Saharan Africa, Leiden, 2004, p. 179 46 “Die Unstaatlichkeit des Völkerrechts gebietet vielmehr, seine Verwirklichung primär an die Selbstwirksamkeit der Interessen zu knüpfen.”, H. Krüger, Das Prinzip der Effektivität, oder: Über die besondere Wirklichkeitsnähe des Völkerrechts, in: D. S. Constantopoulos et al. (Hrsg.), Grundprobleme des Internationalen Rechts, FS für J. Spiropoulos, Bonn / Düsseldorf, 1957, p. 275
21
“ […] eine Diskrepanz von Recht und generellen, sozialen Tatsachen ist in
keinem Rechte so selten wie im Völkerrecht, weil eben dieses Recht
mangels einer mit selbständiger Macht ausgestatteten Sozialorganisation
sich nie gegenüber seiner sozialen Grundlage stark verselbständigen
kann.”47
Krieger asserts that a legal order with a central enforcement authority
guarantees a higher degree of independence of law and the latter can make
demands on the reality.48 The situation with regard to public international
law seems to be quite different:
“Eine Rechtsordnung aber wie das Völkerrecht, das als Recht der
selbstherrlichen Gemeinschaften, der Staaten, über eine
koordinationsrechtliche Struktur verfügt, weist eine geringere Diskrepanz
zwischen Rechtsnorm und Wirklichkeit auf. Die soziale Grundlage des
Rechts vermag den Gehalt der Norm zu bestimmen. Dieser Gegebenheit
ordnet die Lehre den Begriff Effektivität zu und behauptet damit den
Bestand eines dem Völkerrecht besonderen Prinzips.”49
It is evident from these statements that facts, as such, are important to the
international legal order and that the alleged law-creating influence of facts
is decisive with regard to the present project. One important question has to
be answered in this context: is it really so hard for public international law
to cope with the existence of facts and different factual situations? If one
believes that facts have to be considered as a source of rights under public
international law on the basis of their mere existence, an answer will be in
the affirmative and it will denote the presence of a self-evident and
automatic law-creating influence of facts. It is quite true that facts play an
important role within a legal system as such and they are relevant to the
latter in general, as Anzilotti puts it: “Eine rechtserhebliche Tatsache ist
jeder Tatbestand, an den eine Rechtsordnung bestimmte Wirkungen, d.h.
47 M. Huber, Die soziologischen Grundlagen des Völkerrechts, Internationalrechtliche Abhandlungen (H. Kraus (Hrsg.)), zweite Abhandlung, Berlin-Grunewald, 1928, p. 10 48 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 29 49 Ibid.
22
bestimmte Rechte und Pflichten der Rechtsgenossen knüpft.”50 This
statement can be considered as an “objection” to the automatic law-creating
influence of facts. It describes the situation in which rights and duties,
certain effects, are attached to facts by a legal order, i.e. the legal order is a
source of those rights and duties as such, and not the facts on the basis of
their mere existence. This assertion has been confirmed by the same
author.51
The situation with regard to public international law seems to be the same as
this legal system functions on the basis of its own rules and principles. It
follows that facts, as such, have to be “legitimized” by international legal
norms before they can serve as a source of rights and duties under public
international law. It is a legal rule that ascribes normative force to certain
facts and if this legitimizing factor is absent, those facts cannot validate
respective state of affairs on the basis of their mere existence:
“Die Normen des Völkerrechts machen die Verwirklichung bestimmter
Rechtswirkungen von sehr verschiedenen Umständen abhängig. Diese
Umstände sind die völkerrechtserheblichen Tatsachen, Tatsachen, mit denen
die Völkerrechtsnormen sich befassen, um an sie das Entstehen oder das
Erlöschen bestimmter Rechte und Pflichten der Rechtssubjekte zu
knüpfen.”52
Kelsen describes public international law as a primitive legal order as it
lacks organs which would create and apply respective norms of the system.
He considers public international law as still being at the stage of
decentralization.53 An interesting statement has been made by this writer
with regard to the law-fact constellation: “Wirksamkeit ist eine Bedingung
der Geltung, aber ist nicht diese Geltung selbst.”54
50 D. Anzilotti, Lehrbuch des Völkerrechts, Bd. 1: Einführung-Allgemeine Lehren, Berlin / Leipzig, 1929, p. 251 51 See Ibid. 52 Ibid., p. 252 53 H. Kelsen, Reine Rechtslehre, Mit einem Anhang: Das Problem der Gerechtigkeit, 2. Aufl., Wien, 1960, Unveränderter Nachdruck 1976, p. 323 54 Ibid., p. 220
23
Criticism of an approach implying self-evident prevalence of facts in the context of law-fact interaction
An assertion that facts prevail in the context of law-fact interaction within
the realm of the international legal order, as this latter is a weak system
which functions on the basis of sole self-help, seems to be rather an extreme
attitude concerning the emergence of legal rights and duties under public
international law. It is also important that even legal writers of the period in
which the notion of effectiveness was regarded as a dominant concept on
the international plane (scientific or political), maintain some criticism
concerning the foundation of the attitude mentioned above. Huber, for
example, asserts that it would be incorrect to regard public international law
solely as an expression of collective international interests.55 More
important is his statement with regard to the fact that public international
law tends to free itself from the social substratum: “Auch dem Völkerrecht
ist die Tendenz nach Selbständigkeit gegenüber dem sozialen Substrat
immanent.”56
But in its “quest for independence” public international law has to remain
effective in dealing with different facts because their emergence affects
international legal order, as such, the system as a whole. This assertion is of
decisive importance because one has to be aware of the circumstance that
“[…] the preponderance of pathological effectiveness is not an inherent
weakness of law; it is a defect which may be remedied by a creative effort
of man.”57 Bearing in mind the considerations submitted so far, it becomes
evident that the principle of effectiveness is a controversial topic within the
realm of international legal theory: it has been regarded as a feature inherent
in public international law and, at the same time, as a “defect” of the latter.
The specific issue of “pathological” effectiveness has to be elucidated in this
paper. For the present author, the term “pathological effectiveness” denotes
an alleged self-evident or automatic law-creating influence of facts.
55 M. Huber, Die soziologischen Grundlagen des Völkerrechts, Internationalrechtliche Abhandlungen (H. Kraus (Hrsg.)), zweite Abhandlung, Berlin-Grunewald, 1928, p. 11 56 Ibid. 57 K. Marek, Identity and Continuity of States in Public International Law, Geneva, 1968, p. 564
24
As is evident from the assertions of some writers considered above, they
regard facts as a kind of “self-evident justification” for the application of
legal rules and especially, public international law as it has been considered
as a weak system in which the mere existence of a factual situation would
serve as a source for the emergence of legal rights. It is also clear that public
international law is different from a national legal order as it has no central
enforcement organ and that the monolithic structure of a domestic legal
order is absent within the realm of the international legal system. But does
this “weakness” mean that facts decide everything? Of course, an answer
has to be formulated in the negative, because public international law is
nevertheless the legal system, and it is the legal order which has to deal with
a variety of conflicting interests.58 The objective of this paper is to
demonstrate the extent to which those facts really serve as elements of a
normative system. At the same time, it is important to introduce the limits
set by the international legal order with regard to the law-creating influence
of factual situations.
What has been tackled at this stage is an introduction to the problem of facts
within the realm of the international legal system, with reference to the
decentralized or horizontal nature of the latter, i.e. “statelessness” of the
international legal order. A source of the problem has been displayed in the
context of special features of public international law. It has already been
stated that facts do not decide everything within the realm of public
international law and what they do decide, will be considered later together
with the question of that alleged law-creating influence of factual situations.
58 See M. Akehurst, A Modern Introduction to International Law, 5th ed., London, 1984, pp. 1-11
25
Part I
“Different Faces” of the Principle of Effectiveness
Chapter 1: The concept known as “normative Kraft des Faktischen”
It is important at this stage to address the following manifestations of the
principle of effectiveness, i.e. its “many faces”: normative Kraft des
Faktischen, ex factis jus oritur and fait accompli. These notions are
interrelated and they express the very essence of the argument favouring the
law-creating influence of facts. It is worth noting that normative Kraft des
Faktischen has to be regarded as a more general notion in comparison with
others, as if it were their theoretical foundation.
1.1 Jellinek’s “normative Kraft des Faktischen” and its relevance to the international legal system
Jellinek has been referred to as probably the first author to theorize the
principle of effectiveness, even though in his work the principle in question
was never addressed by name.59 It is important to note that Jellinek regarded
psychological elements as a foundation of his approach concerning the
normative force of factual situations. He asserts that a human being
considers different manifestations during a lifetime not just as pure facts,
but also as some kind of criteria of assessment of deviation from the usual
behaviour. The following statement has been made by this eminent scholar
with regard to the basis of the normative Kraft des Faktischen:
“Das Tatsächliche kann später rationalisiert werden, seine normative
Bedeutung liegt aber in der weiter nicht ableitbaren Eigenschaft unserer
Natur, kraft welcher das bereits Geübte physiologisch und psychologisch
leichter reproduzierbar ist als das Neue.”60
59 See E. Milano, Unlawful Territorial Situations in International Law, Reconciling Effectiveness, Legality and Legitimacy, Developments in International Law, Vol. 55, Leiden / Boston, 2006, p. 25 60 G. Jellinek, Allgemeine Staatslehre, 3. Aufl., 6. Neudruck, Bad Homburg vor der Höhe / Darmstadt, 1959, p. 338
26
Jellinek proceeds to the psychological sources of law and introduces the
notion described as “normative Kraft des Faktischen”. Interesting assertions
have been made by the writer with regard to the force of factual situations;
Jellinek asserts that normative Kraft des Faktischen is important not only in
the sense of the origin of legal norms, but also with regard to their existence:
“Weil das Faktische überall die psychologische Tendenz hat, sich in
Geltendes umzusetzen, so erzeugt es im ganzen Umfange des
Rechtssystems die Voraussetzung, daß der gegebene soziale Zustand der zu
Recht bestehende sei, so daß jeder, der eine Veränderung in diesem Zustand
herbeiführen will, sein besseres Recht zu beweisen hat.”61
Jellinek refers to the protection of ownership as an example. In the context
of the existence of a de facto state it would mean the following: the de facto
territorial unit is a fact, if it has been firmly established after some period of
time, its factual existence becomes the basis of an assertion that this social
order has to be regarded as a legitimate one, and the alteration of the status
quo must be based on the right which would override that entitlement.
Jellinek tries to justify the theory of the normative force of factual situations
by reference to the transformation of the purely factual power of a state into
its legal authority. He stresses that this process is accomplished on the basis
of the view of a human being that respective factual situations are of a
normative nature, that this is the state of affairs that ought to be: “daß es so
sein solle, wie es ist.”62
1.2 Assessment of the concept of “normative Kraft des Faktischen”
It has to be noted that the theory of normative Kraft des Faktischen has
been criticized for two main reasons: the first one asserts that the
transformation of the notion of is (Sein) into the world of ought (Sollen) is
impossible as these manifestations represent two completely different
spheres.63 Another reason concerns an alleged immorality of the concept in
61 Ibid., pp. 339-340 62 Ibid., p. 342 63 See W. Jellinek, Über die normative Kraft des Faktischen, in: JZ, Jg. 6, 1951, p. 348
27
question. This second consideration is based on the idea that if a purely
factual situation has to be regarded, at the same time, as a norm in respect
of the behaviour of a human being, it will be possible to demand obedience
to a tyrannical authority, because this latter represents a fact existence of
which is undeniable and this fact must be “respected”.64
It is only the first argument which is relevant to this scientific project as the
problem concerns an alleged possibility that a de facto situation can enter
the world of ought (Sollen) after leaving the world of is (Sein). It is crucial
to answer the question, whether this transformation is possible or not, and if
the answer is “yes”, an exact mode of the change under discussion has to be
introduced. Even at a theoretical level, the normative power of facts seems
to be a controversial issue. This assertion has been confirmed by Radbruch:
“»Normativität des Faktischen« ist ein Paradoxon, aus einem Sein allein
kann nie ein Sollen entspringen, ein Faktum wie die Anschauung einer
bestimmten Zeitepoche kann nur normativ werden, wenn eine Norm ihm
diese Normativität beigelegt hat.”65
It is evident from this statement that the validation of facts is a function of
law, and a fact alone, cannot validate itself. Furthermore, an assertion has
been made in respect of an inescapable consequence connected with the
scientific examination of the normative force of factual situations: “Jede
Analyse des Problems einer „Normativität des Faktischen“ hat – will sie zu
wissenschaftlich sinnvollen Aussagen führen – von dieser logischen
Unableitbarkeit eines Sollenssatzes aus einer Seinsaussage auszugehen.”66
Boldt stresses that it would be a mistake to regard Jellinek’s conception of
legality as a purely authoritarian one.67 According to him, Jellinek demands
that a legal norm, in order to acquire validity, should also possess a
64 See Ibid. 65 G. Radbruch, Rechtsphilosophie, 4. Aufl., (E. Wolf (Hrsg.)), Stuttgart, 1950, p. 288 66 K. Grimmer, Die Rechtsfiguren einer „Normativität des Faktischen“, Untersuchungen zum Verhältnis von Norm und Faktum und zur Funktion der Rechtsgestaltungsorgane, Schriften zur Rechtstheorie, Heft 24, Berlin, 1971, p. 41 67 H. Boldt, Staat, Recht und Politik bei Georg Jellinek, in: A. Anter (Hrsg.), Die normative Kraft des Faktischen, Das Staatsverständnis Georg Jellineks, Staatsverständnisse, (R. Voigt (Hrsg.)), Bd. 6, 1. Aufl., Baden-Baden, 2004, p. 24
28
motivating force aiming at the will of an addressee of that norm.68 It follows
that law is based on a conviction of those addressees that the law is valid as
such, i.e. the law or respective legislative authority has to be recognized.
This recognition does not need to be acquired immediately, but can be
developed on the basis of habituation:
“Jellinek spricht in diesem Zusammenhang von der „normativen Kraft des
Faktischen“ […] Gemeint ist damit indessen nicht, daß bloße Faktizität, daß
reine Machtausübung Recht hervorbringe oder schon Recht sei, sondern daß
das sich wiederholend Faktische, die Gewöhnung daran, als normal
Empfundenes zum Normativen werden kann.”69
This statement denotes that Jellinek did not regard normative Kraft des
Faktischen as an isolated concept that could serve as an autonomous source
of legal rights, i.e. the law-creating influence of facts on the basis of their
mere existence has been rejected. Thus, to assert that Jellinek based his
concept of law solely on the notion of power is to obscure the fact that this
writer deemed the concept of legitimacy as a necessary component or
criterion of the validity of law. This latter assertion with regard to the
requirement of legitimacy has been confirmed by Anter:
“Die Rechtsordnung ist für Jellinek also keineswegs einfach nur ein bloßes
Abbild der „faktischen Machtverhältnisse“. Dies ist nur die Hälfte der
Wahrheit. Nicht weniger ausschlaggebend für den Bestand des Rechts ist
die Überzeugung von seiner Rechtmäßigkeit: Um Bestand zu haben, müsse
die Rechtsordnung als legitim empfunden werden.”70
It is important to note that there is no self-evident normative force of factual
situations inherent in the theory of normative Kraft des Faktischen. Such a
transformation from a factual to a normative dimension requires a sudden
qualitative change. The word “qualitative” is of decisive importance in this
respect. As Kersten puts it: “Jellinek sieht sehr wohl, daß der Übergang von
Fakten zu Normen kein psychologisch automatisiertes Folgenverhältnis
68 Ibid. 69 Ibid. 70 A. Anter, Modernität und Ambivalenz in Georg Jellineks Staatsdenken, in: Ibid., p. 52
29
darstellt, sondern einen Qualitätssprung von der Faktizität in die
Normativität bedeutet.”71
The conclusion has to be drawn on the basis of those considerations
mentioned above that the possibility of self-evident, or automatic law-
creating influence of facts, has been rejected by Jellinek. The notion
described as normative Kraft des Faktischen does not regard facts as sources
of law on the basis of their mere existence. This assertion has been
confirmed by Kersten: “[…] Jellinek geht keinesfalls davon aus, daß Fakten
»von sich aus« die Kraft haben, Normen zu schaffen.”72
The result is that there is no need to overestimate the meaning of the
concept in question, but the fact remains that normative Kraft des
Faktischen has entered the world of science with a high degree of
compellingness as a controversial issue. The reason is the very essence of
the concept described as normative Kraft des Faktischen: “[…] Sie
bestimmt nicht den Rechts- und Unrechtsgehalt der Tat selbst, sondern die
weiteren Wirkungen.”73 It is not the real content of normative Kraft des
Faktischen, as attached to it by Jellinek, which induced the controversy
mentioned above. Rather, it is the possible consequence of the normative
force of a factual situation that represents the issue which attracts the
interest of different scholars. This is precisely the issue of decisive
importance in the context of emergence and existence of the de facto state
as such. This is the point which denotes the relevance of normative Kraft
des Faktischen to the territorial units of this kind in general. This is the way
in which the concept in question acquires its particular significance within
the realm of public international law.
71 J. Kersten, Georg Jellinek und die klassische Staatslehre, 1. Aufl., Tübingen, 2000, p. 370 (italics in original) 72 Ibid., p. 371 (italics and emphasis in original) 73 F. Münch, Die normative Kraft des Faktischen, in: E. Kroker / T. Veiter (Hrsg.), Rechtspositivismus, Menschenrechte und Souveränitätslehre in verschiedenen Rechtskreisen, Forschungsgesellschaft für das Weltflüchtlingsproblem, Abhandlungen zu Flüchtlingsfragen, Bd. IX, Wien, 1976, p. 53
30
1.3 Conceptual accommodation of the notion of “normative Kraft des Faktischen” within the realm of public international law
To establish a link between the concept of normative Kraft des Faktischen
and public international law means to introduce that concept into the realm
of the latter. The introduction mentioned above requires precise
determination of the relevance of the notion in question to the international
legal system as such. The idea of normative Kraft des Faktischen is relevant
to public international law if it can produce legal effects on the international
plane. Again, the issue of consequences of an alleged normative force of
factual situations is decisive with respect to the importance of those
situations in the international legal order.
It is the issue of validation of facts which is of decisive importance with
regard to the notion of the de facto state. Menzel’s approach to that crucial
issue is meaningful in the sense that this writer examines the concept of
normative Kraft des Faktischen and its relevance to public international law
on the basis of different concrete examples and this attitude sheds some
light on the content of the normative Kraft des Faktischen within the realm
of the international legal order.
Menzel considers the example of unlawful use of force and emphasizes the
fact that international law guarantees that even the military forces of an
aggressor will enjoy a minimum of humanitarian protection, i.e.
international law guarantees respective status solely on the basis of the
factual situation which is connected with an armed conflict.74 It follows that
this mere fact is regarded as lawfully sufficient to attach to it certain legal
consequences:
“Man könnte hier von der assimilierenden Funktion des Faktischen
sprechen. […] In zahlreichen Situationen verzichtet die zwischenstaatliche
74 E. Menzel, Die „normative Kraft des Faktischen“ in völkerrechtlicher Betrachtung, in: Universitas, Jg. 14, Bd. 1, Heft 1-6, 1959, p. 636
31
Ordnung auf Recht/Unrecht-Wertungen und macht um der Rechtssicherheit
willen Zugeständnisse an die „Wirklichkeit“.”75
Menzel also refers to the issue of unlawful territorial changes as an example
of the application of normative Kraft des Faktischen and considers the role
of recognition in this context, asserting that in some cases, the latter can
serve as an effective instrument of validation.76 It has been acknowledged
that the transformation of unlawful territorial changes into legitimate
situations does not occur in those instances, but the relinquishment of an
assertion of illegality is possible. This possibility is stronger if there is not
much prospect that the alteration of an established state of affairs will take
place within a reasonable period of time.77
The notion of fait accompli has been introduced as a manifestation or an
expression of the factual situation mentioned above, as the author asserts
that the recognition of fait accompli, of an accomplished fact, creates the
danger that this act will be regarded as a validation of illegality, and specific
features of one particular situation are decisive in this context.78 It is evident
that the assimilative function of the concept described as normative Kraft
des Faktischen is informative and, at the same time, decisive with regard to
the notion of the de facto state. The function mentioned above leads us to
the problem of fait accompli. Jellinek considered the concept of fait
accompli in his theory regarding the normative force of factual situations,
but he examined the issue in question in the light of a state’s internal order,
although reference has also been made by this eminent scholar to public
international law as such.79 Münch expressed Jellinek’s attitude in a
following way: “Es sieht so aus, als verbreitere Jellinek mit der normativen
Kraft des Faktischen den Anwendungsbereich des Gedankens von der
75 Ibid. (emphasis in original) 76 Ibid., p. 637 77 See Ibid. 78 Ibid. 79 See G. Jellinek, Allgemeine Staatslehre, 3. Aufl., 6. Neudruck, Bad Homburg vor der Höhe / Darmstadt, 1959, pp. 340-341
32
Vollendeten Tatsache; sein Ausgangspunkt ist gleichfalls das Problem der
Staatenbildung.”80
It is important at this stage to note that the assimilative function of the
concept of normative Kraft des Faktischen leads us to the notion of fait
accompli. It follows that fait accompli serves as a link between the concept
of the normative Kraft des Faktischen and public international law.81 This is
precisely the significance of Jellinek’s theory of the normative force of
factual situations on the international plane. The notion of fait accompli
plays the role of a “mediator” between the concept described as normative
Kraft des Faktischen and public international law.
Preliminary remarks
The emergence of the theory described as normative Kraft des Faktischen is
connected with Jellinek’s attempt to clarify the issue of the internal legal
order of a state, the question of constitutional law in particular. Even at this
internal level, Jellinek did not consider the concept of normative Kraft des
Faktischen as an overriding notion: “Denn er selbst hat das Wort nur als
Hinweis gebraucht und kein Prinzip der Rechtsanwendung aus ihm
entwickelt, […] Die normative Kraft des Faktischen ist kein allgemeiner
Rechtssatz […].”82
Nevertheless, the concept caused a lot of controversy among scholars as it
represents a notion pregnant with the possibility of misleading explanations.
The significance of the concept of normative Kraft des Faktischen within
80 F. Münch, Die normative Kraft des Faktischen, in: E. Kroker / T. Veiter (Hrsg.), Rechtspositivismus, Menschenrechte und Souveränitätslehre in verschiedenen Rechtskreisen, Forschungsgesellschaft für das Weltflüchtlingsproblem, Abhandlungen zu Flüchtlingsfragen, Bd. IX, Wien, 1976, p. 49 81 “In der Tat bot und bietet die Jellineksche These von der „normativen Kraft des Faktischen“ der Rechtspraxis eine hinreichende Erklärung um revolutionäre Rechtssetzungsakte als „faktisch legitimiert“ und rechtlich verbindlich zu betrachten. Im Völkerrecht entspricht dem die allgemein anerkannte Theorie der vollendeten Tatsachen, welche nicht nur für das de facto-Regime bei einer Staatsumwälzung, sondern auch im Besatzungsrecht nach der Haager Landkriegsordnung gilt.”, K. Grimmer, Die Rechtsfiguren einer „Normativität des Faktischen“, Untersuchungen zum Verhältnis von Norm und Faktum und zur Funktion der Rechtsgestaltungsorgane, Schriften zur Rechtstheorie, Heft 24, Berlin, 1971, p. 14 82 F. Münch, Brauch und Missbrauch der normativen Kraft des Faktischen, in: Jahrbuch der Albertus-Universität zu Königsberg / Pr., Bd. XV, 1965, p. 44
33
the realm of public international law rests on the notion of fait accompli, the
latter having the meaning of a firmly established factual situation and being
in a relationship of tension with requirements of legality. The concept of
normative Kraft des Faktischen acquires its importance, in this context, on
the basis of its assimilative function. The notion of fait accompli plays the
role of a “mediator” between the concept described as normative Kraft des
Faktischen and public international law. Again, it is not the content of the
normative Kraft des Faktischen which backed the concept in question to
receive the attention mentioned above, but the alleged consequences of the
normative force of factual situations, i.e. assimilation of law to facts, and
Verzijl’s precautionary statement remains of paramount importance in this
respect:
“I do not believe in the “normative Kraft des Faktischen” as a valid general
axiom of the international legal system, and I feel very strongly that it is
inadmissible to try to incorporate such an axiom – which is more often than
not a straightforward denial of the law – into the very texture of its legal
structure.”83
It is important to stress that the notion described as normative Kraft des
Faktischen does not entail self-evident normative force of an effective
situation. For the purposes of the present study this means that the de facto
state does not acquire the status of a “state”, as such, on the basis of its mere
effective existence. Accordingly, the de facto state does not enter the realm
of public international law solely on the ground of the theory considered in
this chapter.
83 J. H. W. Verzijl, International Law in Historical Perspective, Vol. I, General Subjects, Publications of the Institute for International Law of the University of Utrecht, (M. Bos (ed.)), Series A, Modern International Law, No. 4, Leiden, 1968, p. 297 (emphasis in original)
34
Chapter 2: Ex factis jus oritur
2.1 Content of the notion and its dimensions
The second “face” of the principle of effectiveness which is important in the
context of the law-fact interaction is the notion of ex factis jus oritur. This
concept denotes the alleged law-creating influence of facts, i.e. a factual
situation is regarded as a source of law. Ex factis jus oritur becomes
relevant in the context of a firmly established factual situation on the basis
of which respective facts acquire normative force and serve as a sound
foundation of the “newly emerged” law.
Balekjian asserts that the source of the notion of ex factis jus oritur itself,
i.e. the question of why it is relevant to the international legal order in
general, has to be found in the sui generis nature of public international
law.84 It has been stressed that public international law functions as a
regulatory mechanism in the international community of states, but it does
not govern the whole range of problems concerning respective
developments and manifestations within that community ab initio by
normative means.85 This is precisely the reason why the notion of ex factis
jus oritur has “acquired distinction” on the international plane. The
significance of the concept in question is connected with the issue of alleged
law-creating influence of facts illegal in origin:
“Der damit verbundene Fragenkomplex […] kreist um den Satz ex factis ius
oritur. Hier steht der Ausdruck ‘Faktum’ sowohl für völkerrechtsgemäße
Tatsachen als auch für solche, die unabhängig von der normativen Kraft der
Völkerrechtsordnung, oder trotz einer möglichen Verletzung derselben
entstehen, sich dauerhaft erweisen und mit der Zeit zu einem Bestandteil der
Ordnung werden.”86
This definition of the notion of ex factis jus oritur is based on the assertion
that facts can serve as sources of law on the basis of their mere existence
and the issue of a self-evident normative force of facts is again under 84 See W. H. Balekjian, Die Effektivität und die Stellung nichtanerkannter Staaten im Völkerrecht, Den Haag, 1970, p. 9 85 See Ibid. 86 Ibid., pp. 8-9 (italics and emphasis in original)
35
discussion. The definition mentioned above encompasses two dimensions of
ex factis jus oritur: the first one is positive and describes the situation in
which respective facts exist in accordance with the rules of public
international law, the second dimension is negative and refers to the factual
situation which is illegal in origin.
In the context of the emergence and existence of a de facto state the notion
of ex factis jus oritur means the following: the de facto state is a fact,
moreover, it is a firmly established fact and its goal is to gain a place in the
international community of states. The latter conclusion can be drawn on the
basis of an assertion that a de facto state’s aim is sovereignty as
constitutional independence. The de facto state tries to represent itself as a
state, it does not try to represent itself as a challenger to the states system.87
The emergence of a de facto state is sometimes connected with grievous
wrongs and breaches of fundamental norms of public international law. The
definition of the notion of ex factis jus oritur mentioned above, denotes in
the meaning of its negative dimension an alleged possibility that, despite the
illegality of origin, the de facto situation which is firmly established can
become a normative one.
2.2 Theoretical considerations
As is evident from the considerations explored above, the law-fact
interaction is again an issue of decisive importance with regard to the
concept of ex factis jus oritur, as Kreijen puts it: “[…] the principle ex factis
jus oritur is based on the simple notion that certain legal consequences
attach to particular facts.”88 It is the notion of factual situations illegal in
origin, which causes special interest in the context of those “particular facts”
and this question has to be examined thoroughly in my project. It has to be
noted at this stage that the significance of the “anomaly”, which denotes the
alleged law-creating influence of facts illegal in origin, has been linked with
the concept of ex factis jus oritur. Marek refers to the “normal and healthy 87 See S. Pegg, International Society and the De Facto State, Aldershot / Brookfield, 1998, p. 231 88 G. Kreijen, State Failure, Sovereignty and Effectiveness, Legal Lessons from the Decolonization of Sub-Saharan Africa, Leiden, 2004, p. 175 (italics in original)
36
meaning of the requirement of effectiveness for a normative system”89 and,
after that, proceeds to its “[...] pathological meaning: not in the sense of the
effectiveness of law, but of the effectiveness of law-creating illegal facts as
against the norm. This is precisely the current meaning of the principle ex
factis ius oritur.”90
Chen examines the notion depicted as ex factis jus oritur in the light of the
recognition of new states and governments and the acts or situations illegal
in origin.91 This author asserts that, in the first instance, the principle ex
factis jus oritur has to be regarded as the only criterion of legality.92 Chen
proceeds to the issue of factual situations illegal in origin, representing the
manifestation of the “pathological meaning” of the principle of
effectiveness, i.e. ex factis jus oritur:
“In the case of illegal acts or situations, the principle only sets a lower limit,
leaving the injured State discretion to accord recognition, even when the
possession of the wrongdoer may still be precarious. The waiver of a right
or the changing of law through quasi-legislation is a free act. When done
prior to the legislation through other means, such as prescription, it confers
rights on the wrongdoer, and is therefore constitutive in effect.”93
As is evident from Chen’s statements, ex factis jus oritur governs the
process of recognition of new states and governments and is applicable to
the state of affairs which is illegal in origin. It follows that a link has been
established between the concept in question and public international law on
the basis of these problematic issues. The introduction of the notion of
prescription is of great importance with regard to the problem of law-fact
interaction and is relevant to the present project. The concept of ex factis jus
oritur will be considered in the light of criteria for statehood and the issue of
acquisitive prescription (in the context of Abkhazia’s claim to statehood).
89 See K. Marek, Identity and Continuity of States in Public International Law, Geneva, 1968, p. 564 90 Ibid. (italics in original) 91 See T. - C. Chen, The International Law of Recognition, With Special Reference to Practice in Great Britain and the United States, (L. C. Green (ed.)), London, 1951, p. 413 92 “[…] legal quality should not be denied to the actual possessor, as soon as his possession is secured, but no sooner.”, Ibid., (italics in original) 93 Ibid., (italics in original)
37
Lauterpacht explains the significance of the concept of ex factis jus oritur
on the basis of the nature of law, as such: “Law is a product of social reality.
It cannot lag for long behind facts.”94 This eminent scholar refers to the
notions of consent and power, and asserts that the social realities of these
manifestations determine the sociological basis of a legal system, and the
validity of particular rules of that system largely depends on the realities
mentioned above.95 Lauterpacht clarifies the meaning of the concept of ex
factis jus oritur in the following way: “[…] while law, so long as it is valid,
is unaffected by a violation of its rules, its continuous breach, when allowed
to remain triumphant, ultimately affects the validity of the law.”96 It is again
an alleged law-creating influence of facts illegal in origin, which is in
question, and which denotes the negative dimension of ex factis jus oritur.
Kelsen considers the issue of effectiveness and its relevance to public
international law and mentions the notion of ex injuria jus oritur in this
regard:
“The admission, then, that states may, and do, “recognize” that illegal acts
once effecting a firmly established situation give rise to new legal rights and
duties is the admission of ex injuria jus oritur in international law, and it is
the principle of effectiveness that is applied.”97
The problematic issue of factual situations illegal in origin rests on the idea
of ex injuria jus oritur and it can be asserted that the latter represents the
expression, or manifestation of the negative dimension of the concept
described as ex factis jus oritur. The reason why the notion of ex injuria jus
oritur is relevant to public international law has to be found again in the
nature of the international legal system and its distinguishing features.
Kelsen refers to the issue of the creation of new rights and obligations on
the basis of illegal acts. He concludes that the extent, to which the acts
mentioned above, are allowed to produce legal effects within the realm of a
particular legal order “[…] must largely depend upon the stage of
94 H. Lauterpacht, Recognition in International Law, Cambridge, 1948, pp. 426-427 95 See Ibid., p. 427 96 Ibid. 97 H. Kelsen, Principles of International Law, 2nd ed., Revised and Edited by R. W. Tucker, New York et al., 1966, p. 425 (emphasis and italics in original)
38
procedural development reached by this order.”98 If the respective legal
system is a highly developed one, the notion of effectiveness in the sense of
ex injuria jus oritur is of less importance.99 The situation is different with
regard to a decentralized legal order which lacks effective collective
procedures and functions on the basis of self-help:
“Here there is a high degree of uncertainty that the law will be effectively
applied and enforced, particularly in the event of serious breaches. In this
situation, the principle of effectiveness, so far as this principle admits the
operation of ex injuria jus oritur, may have a very considerable scope.”100
It follows that the decentralized nature of the international legal order has
been regarded as decisive in the context of a law-creating influence of facts.
The notion of ex injuria jus oritur, representing the negative dimension of
the concept of ex factis jus oritur, denotes the alleged law-creating
influence, or normative force of facts and factual situations illegal in origin.
In the context of the emergence and existence of a de facto state it means
that, it does not matter, whether the creation of this entity is connected with
the breach of an international legal rule or not. In any case, if a respective de
facto state exists in the form of a firmly established factual situation, and
demonstrates “a reasonable assurance of permanence”101, according to the
notions of ex factis jus oritur and ex injuria jus oritur, the territorial entity in
question becomes part of the international legal system, its mere existence
validates flaws connected with its emergence. The question, whether this
assertion is an expression of truth, has to be considered in the present study.
2.3 Ex factis jus oritur and the criteria for statehood
The issue of the criteria for statehood is of overwhelming importance in the
context of the emergence and existence of a de facto state. This significance
of the criteria mentioned above rests on the characteristic features of the
98 Ibid. 99 See Ibid., pp. 425-426 100 Ibid., p. 426 (italics in original) 101 See T. - C. Chen, The International Law of Recognition, With Special Reference to Practice in Great Britain and the United States, (L. C. Green (ed.)), London, 1951, p. 413
39
territorial unit in question. First of all, the de facto state strives for success
in trying to gain its place in the international community, as Pegg puts it:
“[...] the de facto state tries to follow the same basic logic as the sovereign
state. Entities like Somaliland and the TRNC do not seek to challenge or
overthrow the states system. Rather, they want to join that system and
become members of the club. […] De facto state challengers seek to alter
the boundaries within such a system; they do not seek to alter the system
itself.”102
It follows that a de facto state tries to demonstrate the capacities of a
“normal” state which is accepted as a “member of the club”, i.e. is widely
recognized on the international plane. In doing so, the de facto state has to
display the fulfilment of the criteria for statehood. It is evident, that the de
facto state tries to enter the realm of the international legal order through the
notion of statehood, as its aim is to be treated like a state and to possess
sovereignty as constitutional independence. This is the reason, why the
criteria for statehood become relevant to the notion of the de facto state.
The issue of criteria for statehood is connected with respective
developments within the realm of public international law. The “traditional”
or “empirical” criteria for statehood, based on the principle of effectiveness,
are of particular importance with regard to the notion of ex factis jus oritur.
The content of the requirement of effectiveness in the context of statehood
can be expressed in the following way: on the basis of effectiveness, an
entity in question becomes the addressee of legal rights and obligations,
which are connected with statehood. This entity must demonstrate the
fulfilment of certain requirements to satisfy the traditional criteria for
statehood. The principle of effectiveness, as such, denotes the existence of
empirical statehood, the statehood in the empirical sense, and regards the
issue of statehood essentially as a matter of fact.
102 S. Pegg, International Society and the De Facto State, Aldershot / Brookfield, 1998, p. 231
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2.4 The traditional criteria for statehood
Jellinek’s ideas become important once again, this time in the context of the
issue of statehood. This eminent scholar has formulated the theory of the
essential elements of statehood:
“Danach ist ein politisch und rechtlich organisierter Gebiets- und
Personenverband dann ein Staat, wenn eine – nach außen nur an das
Völkerrecht gebundene, nach innen autonome – Gewalt gegeben ist, die
einem Volk und einem abgegrenzten Gebiet zugeordnet ist. Staatsgewalt,
Staatsvolk und Staatsgebiet stellen somit die drei unabdingbaren Elemente
des Staates dar.”103
This theory is known as the “Drei-Elementen-Lehre”104 and its central
argument is again the notion of effectiveness: if those elements are present,
or requirements are satisfied in a particular case, the respective entity has to
be regarded as a state. It has to be noted that this assertion has been
confirmed on the international plane. The “Convention on Rights and Duties
of States” (the so-called “Montevideo Convention”) has been concluded at
the Seventh International Conference of American States and Art. 1 of this
document reads as follows:
“The state as a person of international law should possess the following
qualifications: (a) a permanent population; (b) a defined territory; (c)
government; and (d) capacity to enter into relations with the other states.”105
As is evident from these considerations, the traditional criteria for statehood
are based on the existence of a permanent population, a defined territory and
an effective government. Bearing in mind the fact that the Montevideo
Convention also refers to the “capacity to enter into relations with the other
states”, it has to be noted that the latter requirement is not of the same
importance with regard to the empirical foundation of statehood, as the first
three criteria. But it is relevant to the notion of the de facto state as such. 103 V. Epping, Völkerrechtssubjekte, in: K. Ipsen (Hrsg.), Völkerrecht, 5. Aufl., 2004, pp. 59-60 (italics in original) 104 See Ibid., p. 59; See also S. Hobe / O. Kimminich, Einführung in das Völkerrecht, 8. Aufl., 2004, p. 67 105 Article 1 of the Convention on Rights and Duties of States, Montevideo, 26 December 1933, reprinted in: AJIL, Vol. 28, 1934 (with Supplement), Official Documents, p. 75
41
The significance of this requirement rests on the fact that de facto states
maintain relations with members of the international community. The notion
of intercourse is important in the context of de facto states, because even in
the absence of a clear juridical status, business is done with them. The
TRNC and Taiwan are good examples in this regard. Of course, not all de
facto territorial units are successful in this sense, but the maintenance of
such relations is an essential attribute of these entities.
It is important at this stage to note that the principle of effectiveness is
applicable to the “Montevideo criteria”, moreover, the principle of
effectiveness represents the basis of the requirements mentioned above.
Krieger refers to the Montevideo Convention as the sole attempt aimed at
introducing the normative definition of the concept of a state.106 It has to be
mentioned that the criteria enshrined in this document have attained
significance on the international plane. Moreover, these requirements
became identical to the notion of statehood.
2.4.1 Permanent population
This criterion requires the presence of a permanent population as a state
represents “an organization of individual human beings.”107 It has to be
noted that the application of this requirement does not depend on the notion
of ethnicity, as such, and is essentially connected with a sum of nationals,
the population possessing the citizenship of a respective state. The following
considerations are relevant with regard to the requirement of permanency:
“First, the population must have the intention to inhabit the territory on a
permanent basis. [...] Secondly, the territory claimed has to be habitable.”108
2.4.2 Defined territory
Statehood is also connected with the notion of territory as “States are
territorially defined institutions of authority.”109 It has to be noted that there
is no rule of public international law which would prescribe “the minimum
106 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 82 107 See D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43, The Hague et al., 2002, p. 58 108 Ibid., pp. 58-59 109 Ibid., p. 59
42
area of that territory.”110 The same can be asserted with regard to the
contiguity of the territory of a respective state.111 The notion of territory
acquires its significance in connection with the concept of state sovereignty,
because “State sovereignty has been traditionally defined in reference to the
principle of territoriality.”112
2.4.3 Government
This requirement refers to the notion of an effective government. The latter
stands as an authority within the boundaries of a respective state and, at the
same time, represents the state in its international relations. It can be
asserted that the notion of government encompasses internal and external
dimensions. Crawford considers the requirement in question “as the most
important single criterion of statehood, since all the others depend upon
it.”113 The effectiveness of a government encompasses the following
aspects: general control of the territory of a respective state to the exclusion
of other entities, this control including the establishment of respective
institutions, and a certain degree of maintenance of law and order.114
Following conclusions have been drawn by Crawford with regard to the
legal effects of the requirement in question:
“Positively, the existence of a system of government in and of a specific
territory indicates a certain legal status, and is in general a precondition for
statehood. […] Negatively, the lack of a coherent form of government in a
given territory militates against that territory being a State, in the absence of
other factors such as the grant of independence to that territory by a former
sovereign.”115
It has to be noted that in 1929 the Germano-Polish Mixed Arbitral Tribunal
(in the case of Deutsche Continental Gas-Gesellschaft v. Polish State)
acknowledged the significance of the requirements of statehood which later 110 J. Crawford, The Creation of States in International Law, 2nd ed., Oxford, 2006, p. 46 111 See V. Epping / C. Gloria, Das Staatsgebiet, in: K. Ipsen (Hrsg.), Völkerrecht, 5. Aufl., 2004, p. 280 112 A. van Staden / H. Vollaard, The Erosion of State Sovereignty: Towards a Post-territorial World?, in: G. Kreijen et al. (eds.), State, Sovereignty, and International Governance, Oxford UP, 2002, p. 166 113 J. Crawford, The Creation of States in International Law, 2nd ed., Oxford, 2006, p. 56 114 See Ibid., p. 59 115 Ibid., p. 60
43
appeared in the text of the Montevideo Convention.116 It is evident that the
notion of effective government is a conditio sine qua non of statehood, of
course, together with the requirements of permanent population and defined
territory. It is important at this stage to clarify the content of the fourth
criterion enshrined in the Montevideo Convention, namely the capacity to
enter into relations with other entities.
2.4.4 Capacity to enter into relations with other states
Uibopuu partitions components of the criterion regarding the capacity of
states to enter into relations with other territorial entities. An important
implication is that a respective aspirant, which wishes to become a member
of the community of states, has to demonstrate that its internal legal order
comprehends the issues of international relevance: “Diesen Bestandteil der
Fähigkeit, internationale Beziehungen zu haben, könnte man
Materienkompetenz nennen.”117 The possession of organs, which would be
authorized to represent, and to bind a respective territorial entity in its
international relations, is an additional requirement as it denotes that certain
persons are given legitimacy to represent the entity on the international
plane.118 It has been asserted that this kind of authority is a component of
the guarantee, that a respective territorial unit has obliged itself in a binding
manner. Another constituent part of that guarantee is the effective control
exercised by the respective elite within the boundaries of a particular
territorial entity.119 These are the components of the fourth criterion of
statehood as enshrined in the Montevideo Convention and these elements
are of subjective nature: “Materienkompetenz, Vertretungsbefugnis,
Autorität und effektive Kontrolle sind gewissermaßen die „subjektive“ Seite
der Fähigkeit internationale Beziehungen zu unterhalten.”120
116 Deutsche Continental Gas-Gesellschaft v. Polish State, Germano-Polish Mixed Arbitral Tribunal, 1929, in: H. Lauterpacht (ed.), Annual Digest of Public International Law Cases, Being a Selection from the Decisions of International and National Courts and Tribunals given during the Years 1929 and 1930, Department of International Studies of the London School of Economics and Political Science (University of London), London, 1935, p. 13 117 H. - J. Uibopuu, Gedanken zu einem völkerrechtlichen Staatsbegriff, in: C. Schreuer (Hrsg.), Autorität und internationale Ordnung, Aufsätze zum Völkerrecht, Berlin, 1979, pp. 105-106 118 See Ibid., p. 106 119 See Ibid. 120 Ibid.
44
2.4.5 Fulfillment of the traditional criteria for statehood: an aspiration
of the de facto state
Indeed, a de facto state tries to demonstrate that it satisfies the requirements
enshrined in the Montevideo Convention, i.e. traditional or empirical criteria
for statehood. This situation denotes the subjective attitude of the territorial
unit mentioned above. The de facto state also tries to enter into relations
with members of the international community and this is again the
expression of its subjective will. One crucial question has to be answered in
my project: if the de facto state fulfils these requirements based on
effectiveness, does it automatically mean that it has to be regarded as an
established state, i.e. the state in a legal sense? One can assert that there is
no universal definition of statehood which would refer to the legal criteria
(as has been shown above, even the Montevideo Convention refers to the
requirements based on a factual situation) and statehood is an issue of fact,
not of the law. It is one of the objectives of this study, to examine whether
this assertion is an expression of truth or not.
It is important at this stage to refer to the conclusion drawn by Brownlie
with regard to the criteria of statehood enshrined in the text of the
Montevideo Convention: “This brief enumeration of criteria is often adopted
in substance by jurists, but it is no more than a basis for further
investigation.”121 It has to be noted that this “further investigation” is
precisely the objective of the present study, and it encompasses the
examination of respective shifts and developments concerning the issue of
statehood within the realm of public international law. The “message” of my
project is that the criteria of statehood adopted in the Montevideo
Convention have to be regarded “as a sort of minimum”122 and this situation
denotes the necessity of subsequent examination of the question in the light
of respective developments within the realm of public international law.
121 I. Brownlie, Principles of Public International Law, 6th ed., Oxford UP, 2003, p. 70 122 See C. N. Okeke, Controversial subjects of contemporary international law, An examination of the new entities of international law and their treaty-making capacity, Rotterdam UP, 1974, p. 87
45
2.5 The issue of independence and the criteria for statehood
The notion of independence plays an important role as it serves as a vehicle
in furtherance of the claim to statehood. The classical formula or definition
of the term “independence” has been given by Judge Anzilotti in the case
concerning “Customs Régime between Austria and Germany” (the so-called
“Austro-German Customs Union Case”). Anzilotti addressed the meaning of
the terms “independence” and “inalienable” in the light of Art. 88 of the
Treaty of Saint-Germain (1919), the issue in question was Austria’s status.
The following statement has been made by this eminent scholar with regard
to the concepts mentioned above:
“With regard to the former, I think the foregoing observations show that the
independence of Austria within the meaning of Article 88 is nothing else but
the existence of Austria, within the frontiers laid down by the Treaty of
Saint-Germain, as a separate State and not subject to the authority of any
other State or group of States. Independence as thus understood is really no
more than the normal condition of States according to international law; it
may also be described as sovereignty (suprema potestas), or external
sovereignty, by which is meant that the State has over it no other authority
than that of international law.”123
As is evident from this definition, a link has been established between
independence and sovereignty, moreover, these two notions have been
equated with each other. Following important elements of the concept of
independence have been emphasized: “existence as a separate state” which
is connected with the fulfillment of empirical criteria of statehood and “the
absence of subjection to the authority of another State or States.”124 This
latter requirement denotes that a respective territorial entity is subject to the
rule of public international law and there is no other authority over it. Marek
has summarized these requirements in the following way: “The two cannot
indeed be separated. For only a “separate” State can be directly 123 Customs Régime between Austria and Germany, Advisory Opinion [No. 20], 1931, Individual Opinion by M. Anzilotti, in: M. O. Hudson (ed.), World Court Reports, A Collection of the Judgments, Orders and Opinions of the Permanent Court of International Justice, Vol. II, 1927-1932, Washington, 1935, p. 726 (italics in original) 124 See J. Crawford, The Creation of States in International Law, 2nd ed., Oxford, 2006, p. 66
46
subordinated to international law and, conversely, only a State directly
subordinated to international law can be “separate”.”125
The fact that independence represents an important component of statehood
has been confirmed on the international plane. The Åland Islands Case is
significant in the context of statehood and it is informative with regard to
the notion of the self-determination of peoples. The commissions were
entrusted by the Council of the League of Nations to deal with the issue of
the status of islands situated in the Baltic Sea. The International Committee
of Jurists examined the internal situation of Finland in the light of the
question of its statehood. It is worth noting that Finland itself was achieving
independence from Russia, it was in statu nascendi. The Committee of
Jurists referred to the revolutionary situation and stressed the lack of
essential components of statehood caused by anarchy.126 The following
conclusion has been drawn by the Committee with regard to the issue of
Finland’s statehood:
“It is, therefore, difficult to say at what exact date the Finnish Republic, in
the legal sense of the term, actually became a definitely constituted
sovereign State. This certainly did not take place until a stable political
organisation had been created, and until the public authorities had become
strong enough to assert themselves throughout the territories of the State
without the assistance of foreign troops.”127
This statement emphasizes the importance of the notion of independence
and links it with the legal content of the concept described as “a definitely
constituted sovereign State”. It has to be stressed that the notion of
independence of states has been regarded as “a fundamental principle of
international law.”128 This view has been confirmed by eminent scholars in
the field of public international law. Crawford, for example, depicts the
125 K. Marek, Identity and Continuity of States in Public International Law, Geneva, 1968, p. 166 (emphases in original) 126 See Report of the International Committee of Jurists entrusted by the Council of the League of Nations with the task of giving an advisory opinion upon the legal aspects of the Aaland Islands question, in: LNOJ, Special Supplement No. 3., 1920, p. 8 127 Ibid., p. 9 128 Status of Eastern Carelia, Advisory Opinion, 1923, in: Publications of the Permanent Court of International Justice, Ser. B. No. 5., Collection of Advisory Opinions, Leyden, 1923, p. 27
47
notion of independence as “the central criterion for statehood.”129 Marek
explains the significance of the concept of independence on the basis of a
reference to the nature of public international law: “Thus, the independence
of States forms the necessary prerequisite of international law, a condition
which the latter could not renounce, without at the same time renouncing its
own raison d’être.”130
As is evident from these considerations, the requirement of independence is
regarded as an essential component of statehood. It has to be noted that the
requirement mentioned above is also significant in the context of the
emergence and existence of a de facto state, as the latter tries to demonstrate
that it is a state in the plain meaning of this word. It is important at this stage
to introduce a notion which is of overwhelming importance with regard to
the de facto state and its status, namely the notion of “actual independence”.
2.5.1 The requirement of actual independence
Lauterpacht links the concept of independence with the notion of
government and asserts the following: “The first condition of statehood is
that there must exist a government actually independent of that of any other
State, including the parent State.”131 Indeed, the notion of independence of a
state encompasses two dimensions: the first one denotes formal
independence which “exists where the powers of government of a territory
(in internal and external affairs) are vested in the separate authorities of the
putative State.”132 This situation is not as problematic in the context of the
existence of the de facto state as is the issue of actual independence. Most of
the de facto states possess respective governmental authorities and organs
which do really function as governmental agencies of a state. The second
dimension of the concept in question refers to the actual independence and
“[...] may be defined as the minimum degree of real governmental power at
the disposal of the authorities of the putative State that is necessary for it to 129 J. Crawford, The Creation of States in International Law, 2nd ed., Oxford, 2006, p. 62 130 K. Marek, Identity and Continuity of States in Public International Law, Geneva, 1968, p. 163 (italics in original) 131 H. Lauterpacht, Recognition in International Law, Cambridge, 1948, p. 26 132 See J. Crawford, The Creation of States in International Law, 2nd ed., Oxford, 2006, p. 67
48
qualify as ‘independent’.”133 Crawford mentions three cases which must be
regarded as derogating from actual independence: substantial illegality of
origin, entities formed under belligerent occupation and substantial external
control of a state.134
Substantial illegality of origin is connected with a violation of a
fundamental rule of public international law and is thus linked with the
negative dimension of the notion of ex factis jus oritur, as the latter
describes factual situations illegal in origin. It follows that the de facto state
is a fact and if its emergence is connected with the breach of a basic rule of
public international law, the issue of derogation from actual independence
comes into play in the context of the question of statehood. As respective
aspirant has to demonstrate the presence of both, formal and actual
dimensions of independence135, an important question arises as to whether
that entity can be regarded as a state under public international law.
Substantial external control of a state is also important in the context of the
existence of a de facto territorial entity. Crawford explains the essence of
this situation in the following way: “An entity, even one possessing formal
marks of independence, which is subject to foreign domination and control
on a permanent or long-term basis is not ‘independent’ for the purposes of
statehood in international law.”136 It is important at this stage to note that as
the substantial external control of a state denotes the derogation from actual
independence, the statehood of a respective territorial unit raises doubts,
because the requirement of independence has its normative content:
“The legal meaning of independence can, therefore, be defined as follows: a
State is independent when it derives its reason of validity directly from
international law, and not from the legal order of any other State, that is to
say, when it possesses a basic norm of its own which is neither derived
from, nor shared with, any other State.”137
133 See Ibid., p. 72 (emphasis in original) 134 Ibid., pp. 74-76 135 See Ibid., p. 63 136 Ibid., p. 76 (emphasis in original) 137 K. Marek, Identity and Continuity of States in Public International Law, Geneva, 1968, p. 168
49
2.5.2 Significance of the notion of sovereignty
Thus, an independent state is directly subordinated to public international
law and obtains its validity directly from the latter. A modern state is
modern sovereign and independence is its conditio sine qua non as
sovereignty, as such, denotes independence. Judge Huber delivered the
definition which sums up the importance of the notions of independence and
sovereignty:
“Sovereignty in the relations between States signifies independence.
Independence in regard to a portion of the globe is the right to exercise
therein, to the exclusion of any other State, the functions of a State.”138
It is true that most de facto states do exercise the functions of a state with
regard to respective territories. They act formally as sovereigns, but does it
mean that they are sovereigns within the realm of public international law?
The answer would be in the affirmative if it were to refer solely to the
traditional meaning of the notion of sovereignty which signified “the
collection of functions exercised by a state.”139 It has to be noted in this
context that the modern notion of sovereignty encompasses internal and
external dimensions. A sovereign state represents an authority “in regard to
a portion of the globe” and it is directly subordinated to public international
law:
“Souveränität wird […] als Völkerrechtsunmittelbarkeit verstanden, es gibt
keine Zwischeninstanz zwischen dem Völkerrecht und dem Staat. Ein Teil
des Prinzips der Souveränität ist die Verfassungsautonomie, die nur Staaten
zusteht.”140
It follows that this statement confirms the existence of two dimensions of
the notion of sovereignty, namely those of “Verfassungsautonomie” and
“Völkerrechtsunmittelbarkeit”. The notion of sovereignty has undergone
respective shifts as the developments on the international plane have deeply
138 Island of Palmas Case, 1928, in: RIAA, Vol. II, p. 838 139 I. Delupis, International Law and the Independent State, Epping, Essex, 1974, p. 3 140 A. Singer, Nationalstaat und Souveränität, Zum Wandel des europäischen Staatensystems, Europäische Hochschulschriften, Reihe XXXI, Politikwissenschaft, Bd. 232, Frankfurt am Main, 1993, p. 28
50
affected its content and significance: from Bodin to the Peace of
Westphalia, from the Westphalian order to recent times.
Krasner stresses that the term “sovereignty” has obtained four different
meanings during the development of the concept: international legal
sovereignty, Westphalian sovereignty, domestic sovereignty and
interdependence sovereignty.141 Domestic sovereignty concerns the state
authority, its organization within the boundaries of the state territory and the
level of effective control exercised by respective elites.142 With regard to the
interdependence sovereignty Krasner notes that the latter refers to the
necessity of the control of transboundary movements and the effectiveness
of governmental authorities in this respect.143 The international legal
sovereignty and Westphalian sovereignty have also caused intense interest:
“international legal sovereignty, referring to the mutual recognition of states
or other entities; and Westphalian sovereignty, referring to the exclusion of
external actors from domestic authority configurations.”144
It follows that internal and external dimensions of sovereignty have to be
regarded as its essential components and, although it has been asserted that
the notion of sovereignty represents “a highly ambiguous term”145, it is also
true that there is clarity with regard to this concept in the context of
independence, i.e. sovereignty, as such, denotes independence. The de facto
state striving for statehood must demonstrate that it is sovereign, that it is
independent (both, formally and actually). Sovereignty is not a “myth”146, it
is an instrument which can be applied if the issue of statehood is in question
and this notion can play an important role with regard to the status of the de
facto state. This is exactly the significance of the concept which denotes its
relevance to my project. Carty has summarized the meaning of sovereignty
within the realm of contemporary international law:
141 S. D. Krasner, Sovereignty, Organized Hypocrisy, Princeton, 1999, p. 3 142 See Ibid., p. 9 143 Ibid. 144 Ibid. 145 J. Hoffman, Is it Time to Detach Sovereignty from the State?, in: L. Brace / J. Hoffman (eds.), Reclaiming Sovereignty, London, 1997, p. 9 146 See R. Jennings, Sovereignty and International Law, in: G. Kreijen et al. (eds.), State, Sovereignty, and International Governance, Oxford UP, 2002, p. 31
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“For the international lawyer, then, sovereignty equals independence and
consists of the bundle of competences which have not already been
transferred through the exercise of independent consent to an international
legal order. […] For the lawyer, sovereignty has come to mean simply that
the entity to which the label is attributed has become a full subject of
international law.”147
Sovereignty, independence and the notion introduced by this statement,
namely the international legal personality, are interrelated manifestations:
sovereignty is independence, independence of a state rests on the notions of
“Verfassungsautonomie” and “Völkerrechtsunmittelbarkeit”. A modern
sovereign independent state should possess formal and actual independence,
“In other words, a State must be genuine and not a puppet.”148 A modern
sovereign should be regarded as a full subject of public international law.
Bearing in mind these considerations, it has to be mentioned that the
objective of my project is to examine and clarify the overall effect of this
situation on the status of the de facto state, i.e. to introduce the status of an
entity which strives for statehood and asserts that it is a “normal” state.
It is again the alleged law-creating influence of facts that makes the issue in
question worthy of examination. Vorster makes an interesting statement
with regard to the status of “nasciturus states”:
“[…] these entities do not arise out of nothing: their origin and existence
must necessarily be founded on the basic requirements of statehood. They
should, therefore, be accorded international legal personality as soon as they
comply with the necessary requirements and possess a substantial measure
of self-government operating with centrifugal force.”149
This is precisely the classical meaning of the law-creating influence of facts
in the context of the criteria for statehood, it is asserted once again that a
factual situation has to be regarded as a legal one: ex factis jus oritur.
147 A. Carty, Sovereignty in International Law: A Concept of Eternal Return, in: L. Brace / J. Hoffman (eds.), Reclaiming Sovereignty, London, 1997, p. 101 148 K. Marek, Identity and Continuity of States in Public International Law, Geneva, 1968, p. 169 149 M. P. Vorster, The International Legal Personality of Nasciturus States, in: SAYIL, Vol. 4, 1978, p. 9
52
It has to be noted with regard to other alleged criteria of statehood that they
are not essentially based on the principle of effectiveness. Following notions
have been suggested in this context: self-determination of peoples,
democracy, minority rights, constitutional legitimacy.150 But the right of
peoples to self-determination plays an important role in respect of the legal
status of the de facto state within the realm of public international law, and
it will be considered in this study in the context of its external dimension,
namely the notion of secession.
It is important at this stage to refer to the situations in which the notion of
effectiveness was disregarded and respective territorial units were not able
to acquire the status of sovereign independent states.
2.6 Statehood denied
2.6.1 Katanga
In 1960, shortly after the attainment of independence by the Republic of
Congo, Katanga, Congo’s province, made a secessionist attempt.151
Hallmarks of this case are active opposition of the UN to secessionist
aspirations and foreign intervention on the side of the secessionist entity,
namely Belgian troops intervened and supported Katanga. It has to be noted
that the province in question was very rich in contrast to other parts of the
Congo, so Belgium had its own interests there and the secessionist bid was
supported by the Belgian mining company and troops.152 The role of the UN
was crucial with regard to the outcome of this conflict. In Resolution 169
(1961) of 24 November 1961, the Security Council:
“[...] completely rejecting the claim that Katanga is “a sovereign
independent nation”, [...]
150 See T. D. Grant, The Recognition of States, Law and Practice in Debate and Evolution, Westport, 1999, pp. 84-106 151 P. Englebert, State Legitimacy and Development in Africa, Boulder / London, 2000, p. 109 152 M. Rafiqul Islam, Secessionist Self-Determination: Some Lessons from Katanga, Biafra and Bangladesh, in: Journal of Peace Research, Vol. 22, 1985, p. 213
53
8. Declares that all secessionist activities against the Republic of the Congo
are contrary to the Loi fondamentale and Security Council decisions and
specifically demands that such activities which are now taking place in
Katanga shall cease forthwith;”153
It has been stressed with regard to this resolution that it represented an
official refusal to grant the right of self-determination to respective
provincial authorities of Katanga.154 It has also been mentioned that while
official recognition was denied to the newly emerged Katangese Republic
even by Belgium, the latter nevertheless “acknowledged” the independence
of the province in question.155 It follows that opposition to Katanga’s claim
to independence was backed by the judgment that respective declaration did
not represent the true wishes of the majority of the Katangese, i.e. the claim
was not a genuine one.156 As a consequence of this state of affairs, Katanga
abandoned its secessionist bid in 1963.
2.6.2 Biafra
Eastern region of Nigeria, with the population of 14 million, seceded from
the federation in 1967 and the creation of the independent republic of Biafra
was declared.157 It has been argued that the Ibo community could indeed
claim to be viable as a separate, progressive nation158 but the Nigerian civil
war demonstrated that the vast majority of the members of the international
community did not support Biafra. As a consequence of this state of affairs,
153 UNSC Res. 169 (1961) of 24 November 1961, [S/5002], preambular para. and para. 8, available on the official website of the UN, at: http://www.un.org/documents/sc/res/1961/scres61.htm (italics in original), [accessed: 11.05.2008] 154 See R. Lemarchand, The Limits of Self-Determination: The Case of the Katanga Secession, in: The American Political Science Review, Vol. LVI, 1962, p. 404 155 Ibid., p. 415 156 See M. Rafiqul Islam, Secessionist Self-Determination: Some Lessons from Katanga, Biafra and Bangladesh, in: Journal of Peace Research, Vol. 22, 1985, p. 213 157 See S. Diamond, Who Killed Biafra?, in: Dialectical Anthropology, Vol. 31, 2007, p. 350 158 See T. M. Franck / N. S. Rodley, After Bangladesh: The Law of Humanitarian Intervention by Military Force, in: AJIL, Vol. 67, 1973, p. 296
54
Biafra was forced to abandon its secessionist attempt in 1970 as respective
leaders surrendered to the federal forces of Nigeria.159
It has to be noted that Biafra was recognized as a state by five members of
the international community: Tanzania, Gabon, Ivory Coast, Zambia and
Haiti.160 Ijalaye has summarized the following important considerations
regarding the issue of Biafra: a) despite the fact that five countries
recognized Biafra, none of them established formal diplomatic relations
with the newly emerged entity; b) those five grants of recognition which
were de jure in their very essence, were not preceded by de facto
recognition; c) no country, including the states which recognized Biafra,
formally granted the status of belligerency to either side in the Nigerian civil
war; d) apart from humanitarian considerations expressed in the grants of
recognition by the four African countries, no other reasons were given by
the recognizing states; e) the OAU reaffirmed the respect for the principle of
territorial integrity of member states and backed Nigeria; f) the position of
the UN during the conflict was that it regarded the issue as being within the
domestic jurisdiction of Nigeria and the organization did not, at any time,
consider the issue of the Nigerian civil war or the question of Biafra’s
statehood.161
Ijalaye has examined the case in question on the basis of the declaratory and
constitutive theories of recognition: with regard to the former it has been
argued that recognition of Biafra by the five countries mentioned above was
premature, because at the time of recognition the struggle was still going on
and it was not clear that the “mother state” had abandoned all efforts to
reassert its domination.162 In respect of the constitutive view it has been
stressed that, it is difficult to conclude that Biafra, as a consequence of the
recognition by only five small states, attained the status of an independent
nation.163 The assertion has been made by the author that, although Biafra
had a government, it was difficult to say that it had a permanent population
159 See D. A. Ijalaye, Was “Biafra” at any Time a State in International Law?, in: AJIL, Vol. 65, 1971, p. 551 160 Ibid., pp. 553-554 161 Ibid., pp. 555-556 162 Ibid., pp. 558-559 163 Ibid., p. 559
55
or a defined territory, because these were the matters which the civil war, as
such, had to decide.164
It has to be stressed that in the case of Biafra the attempt at secession was
made in furtherance of a strong moral claim of the Ibo community to self-
determination, because the easterners were subjected to grievous wrongs at
the hands of the federal government.165 Furthermore, it has been emphasized
that the declaration of independence of Biafra was made by the recognized
government of what had been a political community of Nigeria for a long
period of time, from the government which had effectively governed the
territory in question since July 1966 and the declaration came at the behest
of the Consultative Assembly which virtually reflected the will of the
people.166 It is also true that the unilateral declaration of independence was
made after fruitless negotiations with Lagos.167 Nevertheless, the claim of
the Ibo community did not gain recognition by the overwhelming majority
of the international society. An assessment of the respective claim is
expressed in a statement, according to which the present case:
“[...] serves as a tragic reminder that the concept of self-determination must
be understood, not as a principle for unilateral implementation, but as a
principle guiding the adjustment of competing claims for national
recognition in a system of international order.”168
2.6.3 Southern Rhodesia
It is important at this point to refer to the territory, formerly known as
Rhodesia, the history of which began with the founding of the British South
Africa Company by Cecil Rhodes in 1889.169 In 1923 Britain extended self-
rule to Southern Rhodesia as a self-governing colony within the British 164 Ibid., p. 553 165 See C. R. Nixon, Self-Determination: The Nigeria/Biafra Case, in: World Politics, Vol. 24, 1972, p. 491 166 Ibid., p. 482 167 See S. Diamond, Who Killed Biafra?, in: Dialectical Anthropology, Vol. 31, 2007, p. 350 168 C. R. Nixon, Self-Determination: The Nigeria/Biafra Case, in: World Politics, Vol. 24, 1972, p. 494 169 See R. M. Cummings, The Rhodesian Unilateral Declaration of Independence and the Position of the International Community, in: New York University Journal of International Law and Politics, Vol. 6, 1973, p. 59
56
Commonwealth, but without granting total independence to the territory in
question: white settlers had complete control of the internal affairs of the
colony while Britain controlled external relations through a Governor
General appointed by the Crown and stationed in Salisbury, a major city of
Southern Rhodesia.170
In 1953 Southern Rhodesia joined, together with Northern Rhodesia and
Nyasaland, a federation established by the UK but the entity was terminated
in 1963.171 By 1965 Nyasaland had become independent under the name of
Malawi and Northern Rhodesia was transformed into the independent
republic of Zambia in 1964.172 It is important to note that in granting
independence to Zambia and Malawi, Britain expressed its approval of the
constitutional guarantees providing for African majority rule as the UK was
committed to the policy, according to which, respective political entities
(after becoming independent) should be governed by the African
majority.173 Moreover, this commitment of the UK has been correctly
described as “Britain’s historic task of delivering Rhodesia to internationally
recognised sovereign statehood under majority rule”174.
Bearing in mind these considerations, it has to be asserted that the unilateral
declaration of independence (UDI) of Southern Rhodesia made by the white
regime of the Prime Minister Ian Smith on 11 November 1965 factually on
behalf of the 6% white population175, in furtherance of secession from the
UK, did not represent an expression of majority rule. Indeed, it has been
stressed by Doxey that by initiating the UDI, Ian Smith and his supporters
tried to avoid sharing power with their fellow Africans.176 As a consequence
of this state of affairs, Britain opposed the declaration of independence by
170 Ibid. 171 M. S. McDougal / W. Michael Reisman, Rhodesia and the United Nations: The Lawfulness of International Concern, in: AJIL, Vol. 62, 1968, p. 1 172 R. M. Cummings, The Rhodesian Unilateral Declaration of Independence and the Position of the International Community, in: New York University Journal of International Law and Politics, Vol. 6, 1973, p. 60 173 Ibid., p. 61 174 Rt Hon Lord Soames, From Rhodesia to Zimbabwe, in: International Affairs, Vol. 56, 1980, p. 405 175 See M. S. McDougal / W. Michael Reisman, Rhodesia and the United Nations: The Lawfulness of International Concern, in: AJIL, Vol. 62, 1968, pp. 2-3 176 M. Doxey, International Sanctions: A Framework for Analysis with Special Reference to the UN and Southern Africa, in: International Organization, Vol. 26, 1972, p. 541
57
the white Rhodesian minority, this act was considered illegal because it
contravened the principles of equal rights and self-determination of the
population of the territory in whole.177 Moreover, the UDI represented the
official proclamation of rebellion against the British government.178 Further
development with regard to the status of the territory in question was the
referendum of 1969, in which the Rhodesian electorate decided to turn the
“country” into a republic.179
It has to be emphasized that the attitude of the UN towards the problem was
expressed in an assertion made in 1962 implying that the territory in
question was not self-governing, and ever since, the organization has
criticized the UK’s administration and preparation for independence of a
non-self-governing territory.180 In 1965 the UN Security Council
determined that the situation resulting from the proclamation of
independence by “illegal authorities” in Southern Rhodesia was extremely
grave, and its continuance in time constituted a threat to international peace
and security.181
In its Resolution 232 (1966) the principal organ of the world organization
called for mandatory sanctions against Southern Rhodesia and determined
once again, that the situation constituted a threat to international peace and
security.182 It has to be noted at this point that the latter document was a
significant one, because it represented the first instance of mandatory
measures in the history of the UN.183 It has to be stressed that sanctions had
their momentous political impact as they contributed to the majority rule by
177 G. V. Stephenson, The Impact of International Economic Sanctions on the Internal Viability of Rhodesia, in: The Geographical Review, Vol. 65, 1975, footnote 1, p. 377 178 S. Onslow, A Question of Timing: South Africa and Rhodesia’s Unilateral Declaration of Independence, 1964-65, in: Cold War History, Vol. 5, 2005, p. 129 179 See W. P. Kirkman, The Rhodesian Referendum, the Significance of June 20, 1969, in: International Affairs, Vol. 45, 1969, p. 648 180 See G. A. Mudge, Domestic Policies and UN Activities: The Cases of Rhodesia and the Republic of South Africa, in: International Organization, Vol. XXI, 1967, p. 58 181 UNSC Res. 217 (1965) of 20 November 1965, para. 1, available on the official website of the UN, at: http://www.un.org/documents/sc/res/1965/scres65.htm [accessed: 15.05.2008] 182 See J. L. Cefkin, The Rhodesian Question at the United Nations, in: International Organization, Vol. XXII, 1968, pp. 661-662 183 J. W. Halderman, Some Legal Aspects of Sanctions in the Rhodesian Case, in: ICLQ, Vol. 17, 1968, p. 686
58
encouraging African opponents of the white minority regime in Southern
Rhodesia.184 In 1970 the UN Security Council declared that it:
“Acting under Chapter VII of the Charter,
1. Condemns the illegal proclamation of republican status of the Territory
by the illegal régime in Southern Rhodesia;
2. Decides that Member States shall refrain from recognizing this illegal
régime or from rendering any assistance to it; […]
9. Decides, in accordance with Article 41 of the Charter and in furthering
the objective of ending the rebellion, that Member States shall:
(a) Immediately sever all diplomatic, consular, trade, military and other
relations that they may have with the illegal régime in Southern Rhodesia,
and terminate any representation that they may maintain in the Territory;”185
It has to be mentioned that, although in the wording of the Security Council,
reference is made to “régime”, as such, it is the status as a state, which was
denied, emphasis was made on the fact that there was no valid claim to
statehood. This state of affairs was the consequence of the denial of the right
to self-determination of the black population of the territory in question, as
the non-white majority was given limited representation and civil rights in
accordance with the constitution of respective political entity.186
Thus, the condemnation of the UDI was reiterated in the UN Security
Council Resolution 288 (1970) and the latter referred to Article 25 of the
UN Charter as the basis of its compulsory nature.187 It is evident from
resolutions 277 (1970) and 288 (1970) that they are mandatory, they denote
the obligation of Member States of the UN not to recognize Southern
184 W. Minter / E. Schmidt, When Sanctions Worked: The Case of Rhodesia Reexamined, in: African Affairs, Vol. 87, 1988, p. 231 185 UNSC Res. 277 (1970) of 18 March 1970, paras. 1, 2, 9 (a), available on the official website of the UN, at: http://www.un.org/documents/sc/res/1970/scres70.htm (italics in original), [accessed: 15.05.2008] 186 See C. G. Fenwick, When is there a Threat to the Peace? – Rhodesia, in: AJIL, Vol. 61, 1967, p. 753 187 See UNSC Res. 288 (1970) of 17 November 1970, para. 4, available on the official website of the UN, at: http://www.un.org/documents/sc/res/1970/scres70.htm [accessed: 16.05.2008]
59
Rhodesia as a state, or its government as a legitimate representative of the
Rhodesian people. The binding character of these resolutions can be
deduced from the reference to the Chapter VII of the UN Charter in the first
document, and to the Article 25 of the UN Charter in the second one. The
legal basis of the denial of statehood to Southern Rhodesia can be described
in the following way: the UDI made by respective authorities, and
subsequent domestic legislation, violated the right to self-determination in
relation to the majority of the Rhodesian population, as well as British
sovereignty.188
It has to be stressed that Southern Rhodesia met the requirements based on
the principle of effectiveness, i.e. the empirical criteria for statehood were
satisfied. This assertion was confirmed by Devine, as this author addressed
the issue of the attitude of the General Assembly of the UN to the entity in
question. Devine emphasizes that, in the view of the General Assembly, it
was theoretically possible that the UK might grant independence to
Rhodesia, and it was also probable that other states might recognize
Rhodesian independence. So, bearing in mind these considerations, it has to
be concluded that the entity in question was regarded as a state by the
General Assembly, otherwise there could be no contemplation of the
recognition.189
It follows that the condemnatory votes in the General Assembly have to be
interpreted in a manner, that the overwhelming majority, which voted
against Southern Rhodesia’s independence, declared that respective
members of the international community rejected to recognize the entity in
question as a sovereign state, and subsequently denied the international
personality to Southern Rhodesia: “Since there has been a universal failure
to recognise, Rhodesia is devoid of international personality as an
independent state.”190 The author proceeds by applying the declaratory view
of recognition and empirical or traditional criteria for statehood to the
Rhodesian case, and arrives at the conclusion that Southern Rhodesia 188 See M. S. McDougal / W. Michael Reisman, Rhodesia and the United Nations: The Lawfulness of International Concern, in: AJIL, Vol. 62, 1968, p. 12 189 D. J. Devine, The Requirements of Statehood Re-examined, in: The Modern Law Review, Vol. 34, 1971, p. 412 190 Ibid., p. 413
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satisfied the requirements of permanent population, defined territory and
independent government.191 At the same time, it has been stressed that, on
the ground of application of the constitutive theory of recognition to the
case in question, the overwhelming majority of states could simply deny
Southern Rhodesia an effective international personality by refusing to
recognize the entity as a state.192
The white population of Southern Rhodesia asserted the claim that, whether
a country is independent or not depends on whether the “mother state” can
enforce its position or not. So as the UK had renounced its responsibility
and refused to use force to regain the ruling position, independence was
accomplished by the effective governance of white settlers and their will to
be independent.193 The response of the international community was its
commitment to the legal argument that independent Southern Rhodesia did
not exist.194 It has been emphasized that, if a country stands alone, factually
unrecognized, its de jure as well as de facto existence must be questioned,
despite the presence of the notion of effectiveness. The reason is that the
isolation and the total refusal by the members of the international
community, to admit an entity to the club of states, prevents the
unrecognized state from exercising a common attribute of independence, the
ability to enter into relations with other countries.195 The following
conclusion has been drawn in respect of the Rhodesian case:
“[...] Rhodesia is opposed by the United Nations as a body and its
independence is unrecognized. [...] It may be destined to an existence in a
kind of limbo, not recognized, but functioning internally in a continually
embattled state, able to deal with other nations to some extent but always as
an outsider.”196
191 Ibid., pp. 415-416 192 Ibid., p. 416 193 R. M. Cummings, The Rhodesian Unilateral Declaration of Independence and the Position of the International Community, in: New York University Journal of International Law and Politics, Vol. 6, 1973, p. 66 194 Ibid., p. 79 195 Ibid., p. 80 196 Ibid., p. 81
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In 1980 Southern Rhodesia became independent as Zimbabwe.197 Majority
rule was finally realized on the basis of free elections.
2.6.4 South African homelands
Further important examples are the South African homeland territories, or
Bantustans198 which were granted independence by the government of
South Africa. It has to be noted that this process was an integral part of the
separate development policy maintained by respective government, aimed at
allocating to the constituent racial groups of the republic their own states, or
homelands, in which they could develop along their own lines.199 The
consequence of this policy practiced unilaterally by the whites was that the
white population of the republic remained coherent, whereas black citizens
were to be split into eight “nations”.200 In sum, this policy was the policy of
racial segregation, aimed at excluding the black population from the
republic and securing a position of supremacy by the white minority in the
country. The black population had to be resettled in homelands, which
should be economically dependent on South Africa, and the separation of
those territories from the “mother state” was accompanied by the loss of
South African citizenship by the black population.201
The policy mentioned above is known under the designation of “apartheid”
and the mode of granting independence to respective homelands can be
described in the following manner: the South African legislative organ
passed the statute providing for the independence of the territory in
question, and the legislative body of the territory involved enacted a
197 Information available on the official website of the CIA, at: https://www.cia.gov/library/publications/the-world-factbook/geos/zi.html [accessed: 18.05.2008] 198 “A bantustan is an area designated by the South African government as the native country of a given tribe of blacks, usually austere and far from employment. Through forcible removal of blacks, the government is reducing their presence in white areas and around urban centers;”, J. Hunter, Israel and the Bantustans, in: Journal of Palestine Studies, A Quarterly on Palestinian Affairs and the Arab-Israeli Conflict, Vol. XV, 1986, p. 53 199 See M. Lipton, Independent Bantustans?, in: International Affairs, Vol. 48, 1972, p. 1 200 Ibid., p. 3 201 W. B. van Lengerich, Das Staatsbürgerschaftsrecht Südafrikas unter besonderer Berücksichtigung der ehemaligen Homelands, in: VRÜ, Jg. 34, 2001, p. 365
62
constitution which became effective on the date of independence.202 It is
interesting to note that none of the independence-conferring enactments
provided expressly for denationalization on the ground of race, but by
implication they were designed to apply only to the black population.203
Transkei, which was declared independent in 1976, was not recognized by
any state other than South Africa.204 Furthermore, the “independence” of the
territory in question caused harsh international reaction. In its Resolution
31/6 (A) the UN General Assembly:
“Taking note that the racist régime of South Africa declared the sham
“independence” of the Transkei on 26 October 1976, [...]
1. Strongly condemns the establishment of bantustans as designed to
consolidate the inhuman policies of apartheid, to destroy the territorial
integrity of the country, to perpetuate white minority domination and to
dispossess the African people of South Africa of their inalienable rights;”205
The UN Security Council has also referred to the question of Transkei’s
alleged independence, and in its resolution passed in 1976, the Security
Council:
“1. Endorses General Assembly resolution 31/6 A, which, inter alia, calls
upon all Governments to deny any form of recognition to the so-called
independent Transkei and to refrain from having any dealings with the so-
called independent Transkei or other bantustans;”206
The policy of non-recognition was also applied by the OAU in the
resolution adopted in 1976 in which the organization depicted the politics
maintained by Pretoria as “Bantustanization, the cornerstone of Apartheid
202 J. Dugard, South Africa’s “Independent” Homelands: An Exercise in Denationalization, in: Denver Journal of International Law and Policy, Vol. 10, 1980, p. 19 203 Ibid., p. 27 204 See Ibid., pp. 15-16 205 UNGA Res. 31/6 (A) of 26 October 1976, preambular para. and para. 1, available on the official website of the UN, at: http://www.un.org/documents/ga/res/31/ares31.htm (italics in original), [accessed: 19.05.2008] 206 UNSC Res. 402 (1976) of 22 December 1976, para. 1, in: Resolutions and Decisions of the Security Council (1976), SCOR 31, United Nations, New York, 1977, p. 13 (italics in original)
63
designed to ensure the balkanization, [...] in South Africa to the benefit of
white supremacy”207.
According to Dugard, the refusal of states to recognize Transkei can be
interpreted in two ways: first of all, it can denote that Transkei did not meet
the criteria for statehood, although the author draws the conclusion that the
traditional requirements for statehood, enshrined in the Montevideo
Convention, were met in this particular case.208 On the other hand, non-
recognition has also been regarded as a sanction for violation of an
international legal norm, and the following conclusion has been drawn: as
Transkei was considered by the states as a product of apartheid, and the
independence of the entity in question as the consolidation of the policy of
separate development, members of the international community may have
applied the sanction of non-recognition based on the maxim ex injuria jus
non oritur in order to deny legal consequences to the situation, which they
regarded as one being contrary to international law.209
The legal assessment of the policy of apartheid was made by the ICJ in
1971, as the Court observed that the establishment and enforcement of
distinctions, exclusions, restrictions and limitations exclusively on the basis
of race, colour, descent or national or ethnic origin, representing the denial
of fundamental human rights, is a flagrant violation of the purposes and
principles of the UN Charter.210
Witkin stresses that the circumstances surrounding the creation of the entity
in question denote two areas of possible illegality, and the reasons for the
justification for the duty of non-recognition: South Africa’s questionable
invocation of the right to self-determination and the connotation of
207 Organization of African Unity: Resolution on Non-Recognition of South African Bantustans (adopted at the Twenty-Seventh Ordinary Session of the O.A.U. Council of Ministers, held at Port Louis, Mauritius, June 24-July 3, 1976), reproduced in: ILM, Vol. XV, 1976, p. 1221 208 J. Dugard, A International Law and Foreign Relations, Transkei Becomes Independent, in: Annual Survey of South African Law, 1976, p. 33 209 Ibid., p. 34 210 Legal Consequences for States of the Continued Presence of South Africa in Namibia (South West Africa) notwithstanding Security Council Resolution 276 (1970), Advisory Opinion, I.C.J. Reports 1971, p. 16 (para. 131, p. 57)
64
apartheid in the creation of Transkei.211 It has also been emphasized that the
initial organization of the black population of South Africa into bantustans
was imposed without the participation of the respective racial group.212
Furthermore, the UN has characterized the practices of apartheid as a threat
to international peace and security, and if the creation of the state of
Transkei is viewed as a consequence of the policy of apartheid, this can be
regarded as the basis under the Charter of the UN for denying the legality of
the independent existence of the entity in question.213 Moreover, the
proscription against apartheid can be regarded jus cogens norm, and as the
Status of Transkei Act and respective arrangements between South Africa
and the entity involved furthered the policy of apartheid, they contravene
the peremptory norm of international law and are void within the realm of
the latter. It follows that if other states were to recognize the “newly
emerged state”, their action would also contravene the jus cogens norm and
violate international law.214
Thus, in the case of Transkei, the doctrine of collective non-recognition was
applied on the basis of the determination that secession by the entity in
question furthered South Africa’s racist policies and, as a consequence, the
right to self-determination could not be employed. So, states were duty
bound to deny recognition on grounds of obligations stemming from the UN
Charter and customary international law prohibiting apartheid (in addition to
obligations of individual state parties to certain human rights
instruments).215
In sum, following homelands were granted independence: Transkei (1976),
Bophuthatswana (1977), Venda (1979) and Ciskei (1981).216 In 1994 the
“independent” homelands were abolished and integrated into the South
211 M. F. Witkin, Transkei: An Analysis of the Practice of Recognition – Political or Legal?, in: Harvard International Law Journal, Vol. 18, 1977, p. 617 212 Ibid., p. 621 213 Ibid., p. 623 214 Ibid., p. 626 215 Ibid., p. 627 216 See W. B. van Lengerich, Das Staatsbürgerschaftsrecht Südafrikas unter besonderer Berücksichtigung der ehemaligen Homelands, in: VRÜ, Jg. 34, 2001, p. 366
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African state.217 The following conclusion has to be drawn with regard to
the legal assessment of the case of Bantustans:
“Der rechtliche Makel der von Südafrika in die Unabhängigkeit entlassenen
homelands wird gesehen in dem Verstoß gegen das Selbstbestimmungsrecht
der schwarzen Mehrheitsbevölkerung, das durch das Erfordernis der
Erhaltung der territorialen Integrität des Landes qualifiziert wird, und in
dem Verstoß gegen das gleichfalls gewohnheitsrechtliche Verbot der
Apartheid als einer Form der rassischen Diskriminierung.”218
These cases are important for the assessment of ex factis jus oritur / ex
injuria jus oritur in the context of de facto statehood and respective
evaluation will be made in the next section.
Preliminary remarks
It can be asserted that the fulfillment of traditional criteria for statehood
based on the principle of effectiveness does not inevitably mean that a
respective territorial entity should be considered as a “state” for the
purposes of contemporary public international law. Thus, the notion of ex
factis jus oritur does not guarantee acquisition of statehood within the realm
of the international legal order. The same assertion holds true in respect of
the notion of ex injuria jus oritur. The emergence of an effective territorial
entity illegal in origin does not lead to the attainment of the status of a
“state” if collective non-recognition is applied by the international
community: ex injuria jus non oritur.
Bearing in mind the features of the cases considered above, it has to be
stressed that there were instances in which the international community has
“overruled” the existence of effective situations on the basis of the
application of non-recognition. It is important to emphasize that if a
respective factual situation represents the violation of the right of peoples to
self-determination, this circumstance can be regarded as a legal basis for the 217 Ibid., p. 384 218 E. Klein, Die Nichtanerkennungspolitik der Vereinten Nationen gegenüber den in die Unabhängigkeit entlassenen südafrikanischen homelands, in: ZaöRV, Bd. 39, 1979, p. 485 (italics in original)
66
non-recognition of the entity in question. In the case of Biafra, where the
Ibo community suffered grievous wrongs at the hands of the federal
Nigerian government and had a solid claim to secession, the international
community did not recognize Biafra as a state and adhered to the principle
of territorial integrity. As with regard to Katanga, Southern Rhodesia and
the South African homelands it can be asserted that the international
community maintained a legal position, according to which, the denial of
the right to self-determination renders the fulfillment of traditional criteria
irrelevant, and effectiveness is overridden by the non-recognition of the
political entity with aspiration for statehood.
The fact that there were de facto situations, as such, is confirmed by de
Smith as this author, with reference to the case of Southern Rhodesia,
stresses that by 1966 the UK government was exercising legal authority
without effective power in relation to the territory in question, whereas the
Smith regime was wielding effective power without legal authority.219 It is
thus evident that de facto control was insufficient at the end of the day for
the acquisition of the status of a sovereign independent state. The de facto
existence could not be transformed into de jure status because of non-
recognition by the international community. The attitude of the international
community was based on the legal argument, and the right of peoples to
self-determination assumed the leading role in this environment.
219 S. A. de Smith, Southern Rhodesia Act 1965, in: The Modern Law Review, Vol. 29, 1966, p. 304
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Chapter 3: Fait accompli as a final expression of the alleged law-creating influence of facts
3.1 The content of the notion of fait accompli
The notion of fait accompli, or the accomplished fact, represents the
culmination of considerations regarding the alleged normative force of
factual situations. This manifestation denotes that facts can serve as sources
of law on the basis of their mere existence, and the law must be brought into
line with requirements of factual situations. According to the essence or the
content of the concept, even if respective factual situation violates law, the
latter has to be adapted to facts illegal in origin. It has to be noted that the
meaning of the notion of fait accompli is twofold: it expresses the
realization of the principle of effectiveness and, at the same time, it denotes
the limits of the principle. This second function of fait accompli represents
its negative dimension in respect of factual situations:
“Das fait accompli wird somit als ein dem Recht widersprechender
tatsächlicher Zustand verstanden, der jedoch die Möglichkeit der
“Versteinerung” in sich trägt, da die Gefahr besteht, dass ein Rechtssatz
oder ein Rechtsanspruch, der sich auf die Dauer nicht durchsetzen kann,
nicht mehr für rechtsverbindlich gehalten wird und statt dessen die durch
widerrechtliche Massnahmen herbeigeführten faktischen Situationen
entweder nach Ablauf einer gewissen Zeit oder auf Grund internationaler
Anerkennung als Quelle von Rechten betrachtet werden.”220
As it is evident from this definition, fait accompli represents the situation
with illegal origin221 and this is precisely the issue of decisive importance
with regard to the limits of the application of effectiveness and its
consequences. The concept in question rests on the long-lasting illegality in
the form of a factual situation, and it is supposed that this illegality will, on
the basis of non-application of respective legal rules, override the latter. In
this way, after a period of time, or on the ground of international 220 U. Ziehen, Vollendete Tatsachen bei Verletzungen der territorialen Unversehrtheit, Eine völkerrechtliche Untersuchung, Beihefte zum Jahrbuch der Albertus-Universität Königsberg / Pr., XX, Würzburg, 1962, pp. 1-2 221 See C. Bilfinger, Vollendete Tatsache und Völkerrecht, Eine Studie, in: ZaöRV, Bd. 15 (1953/54), p. 456
68
recognition, facts enter the realm of public international law, despite their
initial illegality.
3.2 Dimensions of the concept of fait accompli
Another meaningful feature of the concept of fait accompli is its political
dimension. To say precisely, it is used in pursuance of political intensions,
the concept is instrumental to the promotion of respective goals of a
political nature. This means that political considerations are introduced into
the realm of public international law and the very nature of the latter seems
to be backing this introduction: “Der politische Charakter des Völkerrechts
folgt aus der Tatsache, daß das dem Völkerrecht zugeordnete Lebensgebiet
vorwiegend ein politisches ist.”222 It follows that the international legal
order is familiar with the notion of politics, and fait accompli strengthens
the role of the latter by establishing factual situations illegal in origin as the
sources of law. With regard to the emergence and existence of the de facto
state this overall situation means that, according to the implications of the
concept of fait accompli, this territorial unit representing an established fact,
enters the sphere of public international law even if its creation is connected
with breaches of the rules of the latter.
It has been asserted in this respect that fait accompli politics, maintained at
an international level, causes the alienation of interstate relations from the
legal sphere. The task of public international law has been acknowledged in
this respect: it should guarantee the return to the normal status.223 The
notion of fait accompli politics has been regarded as a danger to the
international legal order: “Die fait accompli-Politik bedroht Ordnung,
Sicherheit und Freiheit, sie erschüttert den Glauben an das Recht
überhaupt.”224
222 E. Blenk-Knocke, Zu den soziologischen Bedingungen völkerrechtlicher Normenbefolgung, Die Kommunikation von Normen, Ebelsbach am Main, 1979, p. 67 223 See C. Bilfinger, Vollendete Tatsache und Völkerrecht, Eine Studie, in: ZaöRV, Bd. 15 (1953/54), p. 454 224 Ibid., p. 455 (italics in original)
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3.3 Law, power and the notion of fait accompli
It follows that the concept of fait accompli and the politics based on this
concept can endanger the very essence of law. This assertion is confirmed
by the fact that political considerations are sometimes maintained on the
basis of power, the latter also representing a guarantee of the enforcement of
legal rules. But the notion of power can have negative impact on the law,
especially, if the validation of situations illegal in origin is the issue in
question. This constellation is linked with the concept of effectiveness in the
form of fait accompli, and affects each and every single case in which facts
are considered to possess an alleged law-creating influence. With respect to
the relationship of the notion of effectiveness and the notion of power, it has
to be stressed that there seems to be no problem in considering them as
interrelated concepts: “Das Problem der Effektivität ist ein Problem der
Macht.”225
It seems reasonable at this point to introduce some considerations
concerning the role of politics and the significance of power in public
international law. It has been asserted in this respect that the international
legal order fulfils a social function, in that it transforms the application of
power into a legal obligation, it converts the world of is into the world of
ought.226 This role of the international legal system expresses the political
dimension of public international law. The dimension mentioned above
denotes the existence of international legal rules which reflect “underlying
social forces, most notably the prevailing balance of power and
configuration of states’ interests.”227
It is evident from this statement that the notion of power and respective
interests of particular states are central problems in the context of political
international law. The notion of politics endangers the international legal
system, if power becomes an overriding factor on the international plane in 225 F. A. Frhr. von der Heydte, Ein Beitrag zum Problem der Macht im „klassischen“ und im „neuen“ Völkerrecht, in: W. Schätzel / H. - J. Schlochauer (Hrsg.), Rechtsfragen der internationalen Organisation, FS für H. Wehberg, Frankfurt am Main, 1956, p. 193 226 See M. Byers, Custom, Power and the Power of Rules, International Relations and Customary International Law, Cambridge UP, 1999, p. 6 227 See C. Reus-Smit, Society, power, and ethics, in: C. Reus-Smit (ed.), The Politics of International Law, Cambridge Studies in International Relations: 96, Cambridge UP, 2004, p. 272
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the sense that legal considerations are ignored on the basis of power politics.
This situation can turn into an acute crisis of the international legal order, if
the validation of factual situations illegal in origin is the issue in question.
One important aspect of the problem is that law, as such, functions within
the realm of the political environment:
“Law exists, and legal institutions operate, only in particular political
contexts. Contexts vary through time and space, and are influenced by many
social, economic and cultural factors. We can and do legitimately separate
“law” from “politics” in particular contexts for particular purposes.”228
Bearing in mind the fact that “underlying political realities invariably shape
the law”229, it has to be examined, whether the international legal system
can be “alienated” from the world of politics in certain situations. This
question is connected with the issue of the ability of public international law
to cope with the emergence and existence of factual situations which deviate
from the requirements of the international legal order.
At the initial stage of the examination there seems to be good reason to
assume a pessimistic attitude towards public international law, as the longest
influence of political philosophy on the latter and the political basis of the
international legal system has been acknowledged.230 Moreover, it has been
asserted that the process of law-making on the international plane is
essentially the political process.231 At the same time, the existence of a link
between politics and the notion of fait accompli is confirmed on the basis of
the fact that politics, as such, “has its roots in reality”232 and as the concept
of fait accompli is an expression of reality, these two notions are
interwoven.
228 M. A. Kaplan / N. deB. Katzenbach, The Political Foundations of International Law, New York / London, 1961, p. 3 229 J. Martin Rochester, Between Peril and Promise: The Politics of International Law, Washington, D.C., 2006, p. 51 230 See D. M. Johnston, The Heritage of Political Thought In International Law, in: R. St. J. Macdonald / D. M. Johnston (eds.), The Structure and Process of International Law: Essays in Legal Philosophy Doctrine and Theory, Developments in International Law, The Hague, 1983, p. 179 231 See Ibid., p. 203 232 J. L. L. Aranguren, Openness to the World: An Approach to World Peace, in: S. Hoffmann (ed.), Conditions of World Order, Boston, 1968, p. 193
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Thus, the alleged function of the international legal order as a system, which
“provides somewhat a political legislative technique”233, is crucial in the
context of the validation of fait accompli in a particular case. Cassese makes
a statement of overwhelming importance in this regard:
“International law is a realistic legal system. It takes account of existing
power relationships and endeavours to translate them into legal rules. It is
largely based on the principle of effectiveness, that is to say, it provides that
only those claims and situations which are effective can produce legal
effects. A situation is effective if it is solidly implanted in real life.”234
It has been stressed by this eminent scholar that there is no place for legal
fictions on the international plane, and as a result of this situation, a decisive
significance is attached to the notion of effectiveness: “Force is the principal
source of legitimation in the international community. The formal
‘endorsement’ of power tends to legalize and crystallize it.”235 With regard
to the reason, why the concept of effectiveness has acquired such an
overriding role within the realm of the international legal system, Cassese
asserts that power is diffused, and there is no superior authority which
would legitimize new factual situations, nor have the states adopted the
principles which would serve this purpose: “as a consequence, legal rules
must of necessity rely upon force as the sole standard by which new facts
and events are to be legally appraised.”236 But it has to be noted that,
according to this author, the situation described above with regard to the
overriding role of effectiveness and force (and respective considerations),
refer principally to the traditional setting of the international community.237
Thus, it can be asserted that the notions of effectiveness, power and politics
try to integrate respective fait accompli in the form of a de facto state into
the realm of public international law. But there seems to be an
insurmountable difficulty in this regard:
233 G. L. Maris, International Law, An Introduction, Lanham et al., 1984, p. 368 234 A. Cassese, International Law in a Divided World, Oxford, 1986, p. 26 235 Ibid., p. 27 (emphasis in original) 236 Ibid. 237 Ibid.
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“To assimilate completely de facto regimes of control into a conception of
the international legal order, […] would endanger a confusion of law and
power such that it would no longer be meaningful to distinguish the
standards of international law from the patterns of international politics.”238
The possibility of such accommodation rests on the assumption that political
considerations can be transformed into the legal foundation of adapting law
to facts. It has to be mentioned at this stage that the “automatic
accommodation” of fait accompli to international law denotes the existence
of the interstate society “ultimately governed by the rule of force.”239
Bearing in mind the considerations submitted above, it can be asserted that
the automatic insertion of politics into the realm of public international law,
signifying the accommodation of fait accompli to the latter, runs a danger of
adapting the law to facts and to the manifestation described as Realpolitik,
or power politics:
“Eine politische Gefährdung des Rechts liegt […] erst vor, wenn das
Spannungsverhältnis zwischen Recht und Politik zugunsten des Politischen
aufgelöst und die rechtliche Bindung zugunsten einer freien Politik abgebaut
wird.”240
Thus, it follows that fait accompli represents a danger of a political
character and, at the same time, it is acknowledged that the notions of force
and fait accompli “play an extremely important and often preponderant rôle
in international relations.”241 The politics of fait accompli is essentially the
politics of creating facts with the hope that the world will come to terms
238 R. A. Falk, The Interplay of Westphalia and Charter Conceptions of International Legal Order, in: R. A. Falk / C. E. Black (eds.), The Future of the International Legal Order, Vol. I, Trends and Patterns, Princeton, 1969, p. 34 (italics in original) 239 See G. W. Keeton / G. Schwarzenberger, Making International Law Work, 2nd ed., in: G. W. Keeton / G. Schwarzenberger (eds.), The Library of World Affairs, No. 1, London, 1946, p. 28 240 W. Schaumann, Die politische Gefährdung des Völkerrechts in der Gegenwart, in: H. Wehberg et al. (Hrsg.), FW, Blätter für internationale Verständigung und zwischenstaatliche Organisation, Bd. 53, 1955/56, p. 350 241 See J. H. W. Verzijl, International Law in Historical Perspective, Part VI, Juridical Facts as Sources of International Rights and Obligations, Publications of the Institute for International Law of the University of Utrecht, Series A, Modern International Law, No. 10, Leiden, 1973, p. 52
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with them, and the law will accept and recognize the factual political
power.242
3.4 The politics of international law and the notion of fait accompli
The notion of fait accompli illustrates the alleged law-creating influence of
factual situations, the normative force of facts, as such, and the question is,
whether public international law can overcome “biased effects” of this
concept. The following statement seems to be informative in this respect:
“[…] Das Völkerrecht weiß, daß es der Macht seinen Tribut zahlen muß,
und seine Sätze sind nüchtern und realistisch. Das Völkerrecht beugt sich
der Macht der Tatsache – nicht in dem Sinn, daß es dem Faktischen schon
normative Kraft verleiht, wohl aber in dem Sinn, daß es nicht selten eine
bestimmte Faktizität voraussetzt, um an sie rechtliche Wirkungen zu
knüpfen.”243
It must be noted at this stage that the concept of fait accompli encompasses
consequences of a negative dimension of ex factis jus oritur, it represents
the expression of the notion described as ex injuria jus oritur, and this
aspect of the concept is decisive in the context of clarifying the legal status
of de facto states, if the illegality of origin is the issue in question. The
notion of fait accompli validates the factual situation illegal in origin and
creates a “new legality”. In doing so, the concept in question transforms the
established state of things from a factual dimension into a legal one and
adapts the law to facts.
The reason why the notion of fait accompli became so important under the
international legal system has to be found again in the nature of public
international law, namely in its decentralized character, i.e. the absence of a
central legislative organ and the lack of a central law-enforcement authority.
Thus, the notion of fait accompli serves as a vehicle on the basis of which
an effective situation tends to enter the realm of international law. If the
242 See W. Schätzel, Die Annexion im Völkerrecht, in: AVR, Bd. 2, 1950, pp. 10-11 243 F. A. Frhr. von der Heydte, Völkerrecht, Ein Lehrbuch, Bd. I, Köln, 1958, p. 26
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illegality of that situation is the issue in question, fait accompli functions as
a factor of validation, and it is supposed that the factual state of affairs is
transformed into a legal one. These are the modes of functioning of the
notion of fait accompli within the realm of the international legal system,
and the question remains, whether public international law allows the fait
accompli in the form of a de facto state to accommodate itself to the
international legal order.
It has to be stressed that the most frequent manifestation of fait accompli, as
far as the latter represents the result of a violation of international law, is a
consequence of the disruption of the territorial integrity of a respective
state.244 A de facto state, as such, can be regarded as the expression of that
disruption from the point of view of the “mother state”. At the same time,
fait accompli represents the mediator between the notion of normative Kraft
des Faktischen and public international law. It is important at this point to
introduce the statement which explains the functioning of the fait accompli
in situations where the use of force is involved and links it with ex injuria
jus oritur and normative Kraft des Faktischen:
“Hält der durch die vollendete Tatsache geschaffene Zustand an, knüpfen
sich an ihn rechtliche Folgen, so entsteht ein rechtlicher Schwebezustand.
Dieser saniert nach Ablauf einer Ersitzungszeit, die etwa mit dreißig Jahren,
also einer Generation, anzusetzen ist, den Rechtsbruch und begründet einen
neuen legalen Status. Nur in diesen rechtlichen Grenzen gibt es […] Fälle,
daß aus Unrecht infolge Heilung durch Zeitablauf Recht entsteht (ex iniuria
jus oritur), nur in diesem Ausmaß hat das Faktische – die vollendete
(rechtswidrige) Tatsache – normative Kraft. Keineswegs lösen aber
rechtswidrige Tatsachen, […] automatisch und sofort Rechtsfolgen aus.”245
This statement confirms the fact that the notions: normative Kraft des
Faktischen, ex factis jus oritur and fait accompli are interrelated matters,
and they essentially denote the existence of the alleged law-creating
244 U. Ziehen, Vollendete Tatsachen bei Verletzungen der territorialen Unversehrtheit, Eine völkerrechtliche Untersuchung, Beihefte zum Jahrbuch der Albertus-Universität Königsberg / Pr., XX, Würzburg, 1962, p. 10 245 S. Verosta, Die Politik der vollendeten Tatsachen und ihre rechtlichen Grenzen, in: Wissenschaft und Weltbild, Zeitschrift für alle Gebiete der Forschung, Jg. 7, 1954, p. 341
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influence of facts. The decisive question is, whether facts can enter the
realm of law on the basis of their mere existence, i.e. whether a factual
situation can be transformed into a legal one, because it represents a firmly
established state of things. In the context of the emergence of a de facto
state it means following: can this kind of territorial unit acquire its own
place within the realm of public international law on the basis of the fact
that it truly exists? An affirmative answer to this question would denote the
presence of an automatic law-creating force of facts, it would mean that the
de facto state is a part of the international legal order, because it represents a
firmly established factual situation. If we answer the question mentioned
above in the negative, we must nevertheless clarify the role of facts. The
following state of affairs has to be borne in mind at this stage:
“[…] das Faktische ist noch nicht Norm, ihm wohnt zunächst nur
normbildende Kraft inne. Daß die Kraft wirken, aus dem Faktischen die
Norm bilden, das tatsächlich Gegebene in die Sphäre der rechtlichen
Ordnung heben kann, hat eines zur Voraussetzung: nämlich die auf Grund
der Wahrnehmung des Geschehens erfolgende Anerkennung der
Betroffenen und ihre sich bildende Überzeugung, daß das, was geschieht,
rechtens sei.”246
Thus, it follows from this statement that the self-evident or automatic law-
creating influence of facts has to be rejected even in the form of fait
accompli. It has been asserted that facts cannot serve as the source of law on
the basis of their mere existence, something more is needed in order to
transform a factual situation into the legal one. This “something more” is
considered to be the recognition of a respective state of affairs as legal, the
conviction of men that the maintenance of a factual situation is a right thing.
246 OLG Frankfurt a. M., Strafsenat, Urteil v. 12. 8. 1947 – Ss 92/47, in: H. Kleine et al. (Hrsg.), HESt, Sammlung von Entscheidungen der Oberlandesgerichte und der Obersten Gerichte in Strafsachen, Bd. 1, Heidelberg, 1948-1950, p. 73
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Preliminary remarks
It can be asserted that the “faces” of the notion of effectiveness which were
considered above, serve as vehicles promoting the inclusion of the de facto
state in the realm of the international legal system. The situation concerning
the self-evident conversion of facts into law is based on the idea, that the
international legal order cannot ignore the existence of firmly established
factual situations. At the same time, in the context of factual situations
illegal in origin, the logic of the self-evident normative ascendancy of facts
denotes the presence of the force which is supposed to validate breaches of
international law. This is another function of the principle of effectiveness.
But, as it has been demonstrated in the theoretical part of the present study,
those three “faces” of the principle of effectiveness do not “guarantee” that
the de facto state enters the realm of contemporary international law (via
statehood) solely on the basis of its effective existence. Such self-evident
normative force of facts has to be rejected. Menzel’s statement must be
introduced at this stage, in order to confirm the existence of the danger
connected with the misinterpretation and misuse of the essence and
consequences of facts:
“Eine falsch verstandene „Faktizität“ könnte […] zu jenen
Mißverständnissen führen, die eine mißbräuchliche Verwendung der Formel
von der „normativen Kraft des Faktischen“ im staatlichen Recht zu
gewissen Zeiten bereits ausgelöst hat.”247
One of the “faces” of the principle of effectiveness, namely the notion of
fait accompli is the issue of special importance as it represents the political
peril facing the international legal order. The problem is that the
maintenance of the politics of fait accompli is essentially the realization of
the discretion of states. It has to be borne in mind that “it is the subjects of
international law who are the sole law-creating agents.”248 States create the
norms of public international law and they also pursue their political
247 E. Menzel, Grundprobleme der Ermittlung, Anwendung und Geltung von Normen des Völkerrechts, Vom gegenwärtigen Stand der Völkerrechtstheorie, in: JuS, Zeitschrift für Studium und Ausbildung, Jg. 3, Heft 2, 1963, p. 50 248 G. Schwarzenberger, The Inductive Approach to International Law, London, 1965, p. 19
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interests, and the materialization of this situation is sometimes expressed
through the emergence of a fait accompli in the form of a de facto state. It
follows that the actors which legislate on the international plane implement,
at the same time, the policy which endangers the very essence of
international law.
It has been suggested that the solution to the problem must inevitably be
based on the consideration of both, legal and political elements.249 The
problem connected with the notion of fait accompli denotes the existence of
a situation in which politics override the law. At the international level, this
state of things denotes the adaptation of public international law to factual
situations. It has to be stressed that the state of things described above
endangers the international legal order, as it introduces external factors into
the realm of this system: “Das normative Selbstverständnis kann durch
soziale Tatsachen, die von außen ins Rechtssystem eingreifen, dementiert
werden.”250
Thus, it is evident that in certain cases, facts can jeopardize the essence of
law and normative values connected with it. The question remains, whether
public international law is really so weak that it cannot cope with the
existence of firmly established factual situations, especially if they represent
consequences of violations of its norms. It is true, that a domestic legal
system can overcome effects of the existence of a situation which
contradicts the requirements of law. This is true because of the presence of a
respective enforcement authority, acting on the basis of compulsion, or
constraint, within the frontiers of one particular state: “Das VR, dem im
allgemeinen diese Möglichkeit fehlt, muß sich […] auch in die schlechte
Wirklichkeit fügen.”251 This pessimistic approach to the international legal
order denotes the preponderance of facts over the law.
With regard to the emergence and existence of a de facto state, the state of
things described above means the inclusion of this kind of territorial unit in 249 See E. Menzel, Grundprobleme der Ermittlung, Anwendung und Geltung von Normen des Völkerrechts, Vom gegenwärtigen Stand der Völkerrechtstheorie, in: JuS, Zeitschrift für Studium und Ausbildung, Jg. 3, Heft 2, 1963, p. 51 250 J. Habermas, Faktizität und Geltung, Beiträge zur Diskurstheorie des Rechts und des demokratischen Rechtsstaats, Frankfurt am Main, 1992, p. 52 251 G. Dahm, Völkerrecht, Bd. 1, Stuttgart, 1958, p. 19
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the realm of public international law. The inclusion mentioned above is
aimed at the alteration of boundaries of the established states system, as the
de facto state tries to obtain the status of a state and to acquire the
international legal personality. It has to be borne in mind that the notion of
secession frequently appears in the form of a mode of creation of the de
facto state, and the process of acquisition of the international legal
personality is essentially of a legal character:
“Eine Veränderung des Status quo hinsichtlich der Anzahl der
Völkerrechtssubjekte tritt nur bei völkerrechtlichen Tatbeständen ein, die
Entstehung von Neustaaten (durch Sezession oder Dismembration) oder
Untergang alter Staaten […] genannt werden.”252
The problem is to clarify, whether public international law allows the de
facto state to enter its realm. It is important to note in respect of the latter
possibility, that the assertion has been made, according to which, the norms
of international law attach legal effects and consequences to factual
situations.253 This is the expression of the “functioning” of the principle of
effectiveness, it serves as a vehicle attributing legal effects to factual
situations.
The assertion concerning a self-evident normative force of facts denotes the
existence of a “weak” international legal system, but the de facto state must
represent itself an entity with legal dimensions, in order to become part of
the international legal system. Whether this status can be guaranteed solely
on the basis of the effectiveness of a particular territorial unit, remains the
issue to be clarified in this study. If effective control is not sufficient in this
respect, the factors must be introduced, the lack of which hinders the de
facto state in establishing itself as an international legal person. But before
addressing these issues, it is important to refer to the notion of secession
which represents the common “mode of emergence” of the de facto state.
252 S. Verosta, Rechtsgeschichte und Reine Rechtslehre: Zugleich ein Beitrag zum Problem der Beziehung zwischen Faktizität und Normativität, in: S. Engel / R. A. Métall (eds.), Law, State, and International Legal Order, Essays in Honor of Hans Kelsen, Knoxville, 1964, p. 359 253 See J. L. Kunz, Statisches und dynamisches Völkerrecht, in: A. Verdross et al. (Hrsg.), Gesellschaft, Staat und Recht, Untersuchungen zur Reinen Rechtslehre, Frankfurt am Main, 1967, p. 230
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Chapter 4: Secession
4.1 Content of the notion of secession and its dimensions
Secession is that problematic manifestation which links the right of peoples
to self-determination with a de facto state. One can regard it as being
inherent in the notion of self-determination and others can assert that
secession is only an unintended by-product of this right. But most important
is that secession functions as a “shadow” of self-determination in cases
where ethnic tension takes place and exacerbates interethnic tensions in
those situations. It is important at this point to introduce the definition of the
subject in question:
“By its very nature a secessionist endeavor involves an attempt by a
segment of a State’s population to withdraw both itself and the territory it
inhabits from the ambit of the governing State’s political authority. To put
the matter into the framework of a “rights” terminology, the secessionists
seek to assert their right to an independent, self-governing existence against
the State’s right to exercise political control over its citizens.”254
It is thus clear that secession denotes the termination of competence of
respective political and legal institutions over the territory involved and the
establishment of new bodies with the same capacities.255 The primary aim of
the secessionist movements, namely the establishment of an independent
state as a result of the withdrawal mentioned above, has internal and
external dimensions. The former denotes that the political entity functions as
a “normal state” within its borders and exercises control over its population,
whereas according to the external dimension, a respective territorial unit
seeks international recognition: it wishes to be treated as a sovereign
independent state and to receive the rights and privileges enjoyed by
sovereign nations.256 It can be concluded that the scope of a secessionist bid
encompasses territory and its population. First of all, the issue of secession
is problematic because of its territorial concern. For the purposes of the 254 L. C. Buchheit, Secession: The Legitimacy of Self-Determination, Yale UP, 1978, p. 47 255 See A. Pavković, Secession, Majority Rule and Equal Rights: A Few Questions, in: Macquarie Law Journal, Vol. 3, 2003, p. 75 256 L. M. Frankel, International Law of Secession: New Rules for a New Era, in: Houston Journal of International Law, Vol. 14, 1992, pp. 527-528
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present study secession has to be understood as a unilateral act aimed at
partial (or total) disruption of a respective “mother state”.
The problem is that secession offends territorial integrity of a respective
state. The principle of territorial integrity is considered to be of primary
importance in respect of achieving international security and preserving
stability in the world.257 So, the issue becomes more problematic when
bearing in mind the fact that the international community promotes two
principles that are difficult to reconcile with one another, namely the
territorial integrity of states and the self-determination of peoples.258 It is
also true that the principle of territorial integrity represents the basis of the
contemporary international system which is state oriented.259 The
interrelation between the notion of self-determination of peoples and the
principle of territorial integrity is expressed through the fact that, a claim
aimed at realizing external self-determination covers a claim to the territory,
and in doing so, this claim brings the concepts of secession and territorial
integrity to a state of interaction.260
Secession represents an expression of the external dimension of the right of
peoples to self-determination, and is activated if respective “self” is denied
the internal dimension of the right in question: the denial of internal self-
determination leads to the revival of the external right to self-
determination.261 Secession has its own impact on the international political
and legal system. There is no compelling reason for arguing that this impact
will be positive in most situations. This fear was confirmed by the
Secretary-General of the UN during a press conference in which the stance
of the world organization on the issue of secession was expressed.
Respective passage reads as follows: “As an international organization, the
United Nations has never accepted and does not accept and I do not believe
257 See V. Gudelevičiūtė, Does the Principle of Self-Determination Prevail Over the Principle of Territorial Integrity?, in: IJBL, Vol. 2, 2005, p. 50 258 M. Griffiths, Self-Determination, International Society and World Order, in: Macquarie Law Journal, Vol. 3, 2003, p. 48 259 See V. P. Nanda, Self-Determination Under International Law: Validity of Claims to Secede, in: Case Western Reserve Journal of International Law, Vol. 13, 1981, p. 264 260 V. Gudelevičiūtė, Does the Principle of Self-Determination Prevail Over the Principle of Territorial Integrity?, in: IJBL, Vol. 2, 2005, p. 54 261 A. J. Carroll / B. Rajagopal, The Case for the Independent Statehood of Somaliland, in: The American University Journal of International Law and Policy, Vol. 8, 1993, p. 673
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it will ever accept the principle of secession of a part of its Member
State.”262
The process of secession can be described as gradual or rapid. The former
entails specific arrangements between a seceding entity and the remainder
of a respective state during the transition period. It is of crucial importance
that an agreement is reached between the two entities in question and the
chance to reach this agreement is better, when the process has a gradual
character. Rapid secessions, on the contrary, increase the likelihood of war
due to frustrations caused by unsettled questions.263
Three constellations have to be examined which are relevant with regard to
the notion of secession. In the first one, a constitution of a state provides for
the right to secede. For example, the 1977 constitution of the Soviet Union
can be mentioned. If there is no such right in the constitution, it can be
derived from the consent of a central government. A typical case is the
secession of Eritrea from Ethiopia in 1993. The last and the most
problematic is the situation, where there is a claim to unilateral secession
and the central government resists that claim, there is no approval of it. This
latter constellation is critical because “It is only when there is disagreement
about whether the group should be allowed to secede that it matters whether
there is a right to secede.”264 One possible result of this process is the
emergence of a de facto state, and this constellation has to be examined
thoroughly in the present thesis.
4.2 The just-cause theory of secession
The theory of secession is of great importance, as it can clarify the question,
which secessionist attempt has to be regarded as valid within the realm of
the self-determination of peoples. The national self-determination and
262 The Transcript of the Press Conference of the Secretary-General of the United Nations, U Thant, held in Dakar, Senegal (4 January 1970), in: UN Monthly Chronicle, Vol. VII, 1970, p. 36 263 J. Duursma, Preventing and Solving Wars of Secession: Recent Unorthodox Views on the Use of Force, in: G. Kreijen et al. (eds.), State, Sovereignty, and International Governance, Oxford UP, 2002, p. 370 264 R. E. Ewin, Can There Be a Right to Secede?, in: Philosophy, Vol. 70, 1995, p. 349
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choice theories of secession are both unsustainable, because they
acknowledge an unconditional right of secession. The only “condition” is
the wish of a respective population, a matter which is of a purely subjective
nature. It is simply impossible to assert that such a difficult and dangerous
concept of secession can be based solely on the wish of the population, even
if this wish is expressed through the majority view. At the same time, those
theories do not provide for objective criteria to distinguish valid claims from
invalid ones. It is impossible to differentiate between just and unjust, valid
and invalid claims on the basis of the theories in question. Of course, it
cannot be asserted that every “minority nation” has the right to secede from
multiethnic states. If this proposition were guaranteed at the international
level, it would undermine the states system, it would lead to terrible results
in the end.265
Thus, it is only the just-cause theory of secession which can be maintained
on the international plane. In contrast to the first two theoretical approaches
which are, by their very nature, utopian, the just-cause theory is realistic. It
does not provide for unconditional right of secession, it is not faced with all
those dangers which are inherent in two other assertions. It is exactly the
just-cause theory of secession which is crucial to my study. This theory
acknowledges only remedial, conditional or qualified right of secession, and
ascertains special criteria to determine which claim is valid and which is
not.
4.2.1 The criteria inherent in the just-cause theory of secession
It has to be stressed that unilateral secession presupposes the existence of an
eligible “self”, as the secessionist bid represents the realization of the right
of peoples to self-determination. Following criteria have been suggested in
order to justify the unilateral act of secession, assuming the existence of a
265 “The existing regime has held its ground for a number of good reasons and most of all because giving free reign to secession may lead to self-determination ad absurdum. Other valid concerns include indefinite divisibility (internal as well as regional), otherwise known as the domino effect; the issue of stranded majorities or trapped minorities; the non-viability of the rump state; the danger of giving birth to non-viable entities which would be a burden internationally; the damage done to the will of the majority; and the ability of a minority to constantly blackmail the majority with secession.”, A. Heraclides, Ethnicity, secessionist conflict and the international society: towards normative paradigm shift, in: Nations and Nationalism, Vol. 3, 1997, p. 504 (italics in original)
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competent “self”: a) systematic and egregious injustices have been
committed by the “parent state” denoting that respective people are
misgoverned by the central government; b) the values protected by
secession are proportionate to the direct and foreseeable harms it causes; c)
the means of securing secession are moral.266 The following quotation
expresses the very essence of the just cause for secession: “Secession is a
remedy, not a right: specifically, secession is a means to rectify past
injustices, to escape systematic and egregious discrimination, and to defend
against aggression.”267
With respect to the requirement of proportionality, it has been emphasized
that the weighing of the benefits of seceding against foreseeable and direct
harms associated with secession leaves practically no space for
secessionists, who concentrate solely on their right to self-determination,
without taking into consideration moral responsibilities vis-à-vis their own
people and wider common values.268 With regard to the morality of
remedial secession, it has been argued that the initial presumption is to
respect the sovereignty and territorial integrity of existing states. Respective
peoples have the responsibility to make all reasonable efforts aimed at
realizing the right to self-determination short of secession, i.e. “less-than-
sovereign alternatives”269. Only after the exhaustion of those efforts, and the
demonstration of the will and capacity to establish a legitimate state, can
respective people be regarded as a “self” for the purposes of secession. But
even so, secession represents a remedy only if: a) there is a just cause on the
part of the people concerned: a historic territorial grievance, unjust
discrimination or self-defence; b) the benefits of secession outweigh the
foreseeable harm; c) primarily political dialogue and nonviolence, and only
as a last resort armed force, are used in pursuance of secession.270
According to Hannum, there are two instances in which secession should be
supported by the international community. The first one denotes the
266 J. - F. Lisée / L. Bissonnette, Quebec’s Urge: Autonomy or Independence?, in: The Fletcher Forum of World Affairs, Vol. 16, 1992, p. 44 267 Ibid. 268 Ibid., p. 46 269 Ibid., p. 47 270 Ibid.
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existence of massive and discriminatory human rights violations,
approaching the level of genocide. Thus, if there is no likelihood of a
change in the policy of central government, or if the majority of the
population supports respective policies, secession can be considered the
only effective remedy. Such exceptions are made in order to lessen human
suffering and they do not denote the acceptance of the “impossible equation
of one nation to one state.”271 In the second case, a central government
arbitrarily rejects reasonable demands for local self-government or minority
rights. This kind of exception can take place only if minimal demands are
rejected.272
Heraclides enunciates four pivotal conditions (nos 1-4) and two
supplementary factors (nos 5-6) backing the realization of unilateral
remedial secession: 1) a considerable self-defined community having a solid
territorial base, representing the large majority in a respective region and
overwhelmingly supporting the breakaway; 2) systematic discrimination,
exploitation and injustice; 3) cultural domination over the community which
seeks separate existence; 4) rejection of peace talks by the “parent state”, no
accommodation on the basis of meaningful autonomous rule, repression or
manu militare; 5) conflict settlement and regional peace following the
separation; 6) respect for human rights of minorities living in the new
state.273
Raič has summarized particular requirements for unilateral remedial
secession:
“Within the framework of the qualified secession doctrine, there is general
agreement on the constitutive parameters for a right of unilateral secession
which may be summarized as follows:
(a) there must be a people which, though forming a numerical minority in
relation to the rest of the population of the parent State, forms a majority
within an identifiable part of the territory of that State;
271 H. Hannum, The Specter of Secession, Responding to Claims for Ethnic Self-Determination, in: Foreign Affairs, Vol. 77, 1998, p. 16 272 Ibid., pp. 16-17 273 A. Heraclides, Ethnicity, secessionist conflict and the international society: towards normative paradigm shift, in: Nations and Nationalism, Vol. 3, 1997, p. 509
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(b) the people in question must have suffered grievous wrongs at the hand
of the parent State from which it wishes to secede […], consisting of either
(i) a serious violation or denial of the right of internal self-determination
of the people concerned (through, for instance, a pattern of
discrimination), and/or
(ii) serious and widespread violations of the fundamental human rights of
the members of that people; and
(c) there must be no (further) realistic and effective remedies for the
peaceful settlement of the conflict.”274
According to Nanda, even if we assume that the right to secession is
permissible and represents a legitimate manifestation within the realm of
public international law, the application and implementation of this right
would be connected with some intrinsic difficulties, as the establishment of
the minimum standards of legitimacy requires the identification of: a) the
group that is claiming the right of self-determination; b) the nature and the
scope of the claim; c) the underlying reasons for the claim; d) the degree of
the deprivation of basic human rights.275
The Supreme Court of Canada addressed the issue of secession in the case
referred to as the Quebec Secession Reference. The court rejected the
validity of unilateral secession under domestic and international law, and
enunciated following principles in its ruling: the right of peoples to self-
determination represents an acknowledged principle of international law,
but this right is usually realized by means of internal self-determination
aimed at accommodating a respective community within the borders of an
existing state. An exception arises when colonial or oppressed peoples are
involved (this exception was not applicable to Quebec).276 The role of the
international community has been regarded as the issue having decisive
importance with regard to the problem of legitimization of a secessionist
claim. It has been stressed that, although Quebec might secede unlawfully,
274 D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43,The Hague et al., 2002, p. 332 275 V. P. Nanda, Self-Determination Under International Law: Validity of Claims to Secede, in: Case Western Reserve Journal of International Law, Vol. 13, 1981, p. 275 276 P. Leslie, Canada: The Supreme Court Sets Rules for the Secession of Quebec, in: Publius: The Journal of Federalism, Vol. 29, 1999, p. 146
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its independence might eventually be accorded legal status through foreign
recognition (including by Canada). Such action, taken in accordance with
the principle of effectiveness, represents the adaptation to “empirical fact”,
but does not confer legality retroactively.277
4.2.2 Content of the just-cause theory of secession
Thus, only conditional, qualified or remedial right of unilateral secession
can be maintained on the international plane. This remedial right to secede
unilaterally is directly linked with the self-determination of peoples. To say
precisely, the transition from an internal dimension of self-determination to
the external one denotes that there is the entitlement to unilateral secession,
when internal self-determination is beyond reach. Secession is in this case
the mode of implementation of external self-determination. It follows that
the holder of the right to secede must be a “people”, as it was in the case of
self-determination, because “What secedes is not simply a bunch of human
beings, a multitude, but a people. And, consequently, what needs a right to
secede is a people.”278 But the term “people” is modified in the sense of
unilateral remedial secession, it is different from that general notion.
Raič describes the holder of the right of unilateral remedial secession as a
“minority-people”, as he refers to the criteria of unilateral secession, and
stresses that, since the notion of secession denotes the separation of a part of
the territory of a state, a “people” must constitute a numerical minority in
relation to the rest of the population of the state in question, but a numerical
majority within the borders of a certain coherent territory.279 Bartkus refers
to a “distinct community” as a holder of the right to unilateral secession and
mentions objective characteristics (language, religion, ethnicity etc) as
features of a respective “self”.280 An important conclusion has to be made
with regard to the holder of the right of secession. Terminology can be
different, but the decisive criterion is that the group, which claims to secede, 277 Ibid. 278 R. E. Ewin, Can There Be a Right to Secede?, in: Philosophy, Vol. 70, 1995, p. 351 (italics in original) 279 D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43,The Hague et al., 2002, p. 366 280 V. O. Bartkus, The Dynamic of Secession, Cambridge UP, 1999, p. 14
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must constitute the majority within a defined territory it inhabits, otherwise
the claim in question is invalid.
The next criterion for the legitimacy of secession refers to the violation of
the right of internal self-determination. The first question concerns the issue,
as when it can be asserted that there is such a violation in general. The
second one regards the amount of violation, which must be reached for the
transition of internal self-determination into the external dimension of this
right. Raič has summarized following requirements (bearing in mind the
circumstances of the cases of Bangladesh and Croatia), establishing in
combination or otherwise the violation of internal self-determination:
“(a) governmental conduct constituting a formal denial of a people’s right to
internal self-determination (Bangladesh after the suspension of the first
session of the National Assembly and Croatia after the coup d’état), or
(b) a policy of indirect discrimination denoting a situation in which a people
is formally granted the right of internal self-determination, but is denied (the
exercise of) this right in practice […], or
(c) a widespread and serious violation of fundamental human rights, most
notably the right to life (Bangladesh, Croatia) which would certainly include
the practice of genocide (arguably Bangladesh) and the practice of ‘ethnic
cleansing’ (Croatia).”281
It has been stressed by another author that the test, to determine severe
deprivation of human rights for the purposes of secession, involves the
examination of the extent, to which a respective group is subjected to
subjugation, domination and exploitation, and the corresponding extent, to
which its individual members are deprived of participatory rights. It follows
that once this test is met, along with the requirement of legitimacy attached
to the claim of territorial separation on the basis of the evaluation in
respective contextual setting, the international community should recognize
the claim in question.282
281 D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43,The Hague et al., 2002, p. 368 (emphasis in original) 282 V. P. Nanda, Self-Determination Under International Law: Validity of Claims to Secede, in: Case Western Reserve Journal of International Law, Vol. 13, 1981, p. 278
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After this comprehensive description, the amount of violation has to be
examined. Reference has been made to the threat of a respective group’s
existence, and it has been stated that secession must be considered as a
remedy if, for example, it seems impossible to save the existence of a people
which is entitled to self-determination and which inhabits a defined
territory.283 Of course, there are no definite criteria in this regard. It cannot
be asserted that, in each and every single case, the level of suffering must be
equal to the results of the situation in Bangladesh. Rather, the amount of
suffering can be different in various constellations, but it does not mean that
every group is entitled to claim secession just as it likes, also when the
degree is lower. Each situation should be treated by the international
community as an individual case, and respective decisions should be made
in accordance with this attitude.
The next requirement with regard to the right of unilateral remedial
secession is the exhaustion of peaceful remedies, of all other solutions short
of secession. It has to be mentioned that juridical remedies, as well as
political arrangements, have to be exhausted to validate the claim to
unilateral remedial secession. This criterion also requires the exhaustion of
both, local and international peaceful solutions. Again, negotiations between
respective entities are of great importance in this regard.
The result of non-exhaustion of these solutions has to be examined. It
follows that in such case, respective claim to unilateral remedial secession is
regarded as invalid under international law, because it represents an abuse
of the right of self-determination. This requirement is obligatory and has
thus to be met, there is no discretion left for a secessionist entity.284 It has to
be asserted that if those reasonable arrangements, proposed by secessionists
for a peaceful solution, have been deliberately rejected by the respective
majority of a state, this situation is equal to the exhaustion of peaceful
solutions short of secession which were mentioned above.
283 D. Murswiek, The Issue of a Right of Secession-Reconsidered, in: C. Tomuschat (ed.), Modern Law of Self-Determination, Dordrecht, 1993, p. 27 284 See D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43,The Hague et al., 2002, pp. 370-371
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4.3 Assessment of the concept of secession within the realm of public international law
Secession does not represent a clear-cut manifestation within the realm of
public international law. It is true that this claim is mostly made in
furtherance of the right of peoples to self-determination, and respective
secessionist leaders assert that their claim is based on this right, as such, but
maybe some of them forget one “detail” which seems to be decisive: “It is
necessary to distinguish between secession in pursuance of, and in violation
of, self-determination.”285 If secession violates the right to self-
determination, the secessionist claim cannot be regarded as valid under
international law.
As with regard to the guiding principles in the context of the international
community’s response to secessionist claims, it has been emphasized that
the critical questions denote, whether the subgroup’s loss of identity is real,
and whether its demands are compatible with basic community policies.
Thus, the response to the claim made in furtherance of self-determination
implies the application of the test of reasonableness, under the consideration
of the total context of such a claim (potential effects of grant or denial of
self-determination on the communities involved, neighbouring regions and
the international community).286
Despite the fact that the “general bias against secession has collapsed”287, it
has been emphasized that the recognition of self-determination as a
principle of customary international law has not been accompanied by the
recognition of a right of substate groups to secede, and the territorial
integrity of states generally prevails over the right of secessionist self-
determination.288 Further flaw connected with the notion of secession is that
the concept in question is imprecise, and there are neither objective
standards, nor viable machinery, in order to apply respective standards even
285 J. Crawford, The Creation of States in International Law, Oxford, 1979, p. 258 286 E. Suzuki, Self-Determination and World Public Order: Community Response to Territorial Separation, in: Virginia Journal of International Law, Vol. 16, 1976, p. 784 287 E. W. Bornträger, Borders, Ethnicity and National Self-determination, Ethnos; 52, Wien, 1999, p. 76 288 P. J. Monahan, The Law and Politics of Quebec Secession, in: Osgoode Hall Law Journal, Vol. 33, 1995, p. 20
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if the consensus is reached.289 Moreover, following shortcomings of the
notion of secession have been summarized by Horowitz:
1) There are always ethnic minorities in secessionist regions and secession
does not create homogeneous successor states championed by its
proponents. Nor does secession reduce conflict, violence or minority
oppression after the establishment of a successor state, and guarantees of
minority protection in such a state are likely to be illusory;
2) Secession is an ineffective solution to the problem because it only
proliferates the arenas in which the problematic issue of intergroup political
accommodation must be addressed;
3) Secession enables the former minority, which now represents the
majority, to cleanse the new state of its own minorities and impels the
former “parent state” to do the same with members of the secessionist
community who are left on the wrong side of a newly emerged international
boundary;
4) Secession or partition converts a domestic ethnic dispute into a more
problematic international one, and the prospect of international warfare
becomes a real danger;
5) The right to secession will undermine the attempts to achieve interethnic
accommodation within states. It is important that the main reason, why
states are reluctant to devolve power to territorially concentrated minorities
on the basis of regional autonomy, or federalism, is their fear that it will
encourage secessionist sentiments;
6) The secession of one region upsets ethnic balances and compels groups in
other regions to push for the reconsideration of the issue, whether to remain
in the existing arrangement, i.e. the “domino effect” takes place;
7) A right to secession effectively advantages militant members of
respective ethnic groups at the expense of conciliators;
289 V. P. Nanda, Self-Determination Under International Law: Validity of Claims to Secede, in: Case Western Reserve Journal of International Law, Vol. 13, 1981, p. 265
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8) The position of some proponents of the right to secession that this right is
justified only if other solutions are unalterably opposed, or minorities have
been victimized, does not work out moderately in practice because it is an
incentive to ethnic polarization;
9) Secession is, by its very nature, an anti-state movement and the
international law that forgets that states are its main subjects risks its own
survival.290
Bearing in mind these considerations, it has to be stressed that secession is a
concept that should be approached with certain precaution. An important
issue with regard to secession is its international regulation, the attitude of
the international community towards a secessionist bid. State practice can be
regarded as a meaningful source, if one decides to draw conclusions in
different cases concerning the validity of the claim to secede. If we turn to
history, it becomes clear that territorial boundaries remained relatively
stable (with the exception of decolonization) for a half century, after the
Second World War till the end of the Cold War, but the nineties brought
such developments which have altered this state of affairs: the reunification
of Germany, the dissolution of the USSR, the SFRY and Czechoslovakia,
secession of Eritrea from Ethiopia, and of Somaliland from Somalia, and the
detachment of Kosovo from Serbia.291
It is important to note that the international practice concerning the claims to
secession is problematic in terms of providing a clear-cut answer with
regard to the status of the claim in question within the realm of public
international law. This assertion is confirmed by the developments which
took place in the former Soviet Union and Yugoslavia. For example, in the
case of the Baltic states, it has been emphasized that there was no
international recognition accorded to them until Russian President Boris
Yeltsin approved Latvian and Estonian independence in August 1991.292 It
follows that the international community did not recognize new states until
290 D. L. Horowitz, The Cracked Foundations of the Right to Secede, in: Journal of Democracy, Vol. 14, 2003, pp. 5-14 291 Ibid., pp. 6-7 292 P. J. Monahan, The Law and Politics of Quebec Secession, in: Osgoode Hall Law Journal, Vol. 33, 1995, p. 22
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they had already achieved “de facto sovereignty”, and this case cannot be
regarded as an argument supporting the recognition of the right to secession
within the realm of customary international law.293 With respect to the
situation in the former Yugoslavia, it has been stressed that this was not a
case of secession, but of the dissolution of an existing state, so as that state
no longer possessed the legal personality, individual republics of the
federation could be recognized without addressing the issue of secession
and calling into question the principle of territorial integrity.294
4.4 The case of Chechnya: a challenge to international law
It has to be noted at this point that examples of successful secessionist
attempts do not provide a compelling argument in favour of secessionist
self-determination on the international plane, because these cases are
“accompanied” with examples of unsuccessful campaigns. It is thus
important at this stage to introduce the case of Chechnya as an example
confirming the complexity of the problem in question.
4.4.1 Historical context
On 1 November 1991, retired Soviet General Jokhar Dudayev, former
commander of an air force division in the Estonian city of Tartu, issued his
first decree in the capacity of the President of Chechnya, declaring his
homeland an independent state.295 Chechens have experienced an uneasy
relationship with Russia for a long period of time. The first encounter
between the regular Russian army and this mountain people is considered to
have been in 1722 and is connected with the expansion of the Russian
Empire under Peter the Great.296 During the subsequent advance of Russia
to the south in the years that followed, the Chechens and other peoples of
the North Caucasus responded with strong resistance. The most important
and prominent leaders of the resistance movement were Sheikh Mansur and 293 Ibid. 294 Ibid., pp. 22-23 295 C. Gall / T. de Waal, Chechnya, Calamity in the Caucasus, New York / London, 1998, p. 99 296 Ibid., p. 37
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Imam Shamil. Despite this uncompromising struggle, Russian forces finally
defeated the Chechens and other mountain peoples in the Caucasus War
(1817-64).297 Thus, as a consequence of an imperial conquest, Chechnya
was incorporated into the Russian Empire in 1864.298
After the establishment of the Soviet rule in the Caucasus, the region of
Chechen-Ingushetia was granted the status of an “autonomous republic” on
5 December 1936.299 After the insurrection of 1940, the Chechens were
deported en masse to Central Asia by Stalin (in 1944), as he claimed that all
Chechens were traitors and had supported the Nazis.300 The territory of the
Chechen-Ingush Autonomous Soviet Socialist Republic (ASSR) was
distributed to neighboring entities, the property was given to ethnic Russian
settlers (including Terek Cossacks, North Ossetians and ethnic groups
residing in Dagestan) relocated to the territory in question, but on the basis
of Khrushchev’s rehabilitation decree of 1957, the Chechen-Ingush ASSR
was eventually restored (although with different boundaries), and the
Chechens were allowed to return to their homeland.301
Gorbachev’s campaign of “glasnost” and “perestroika”, eventually leading
to the disintegration of the Soviet Union, served as a vehicle in furtherance
of the idea of the Chechen independence, as the state of affairs was
somehow similar to the developments of 1918 when the people of the North
Caucasus had first asserted independence. Thus, there was again confusion
in the central government exacerbated by the power struggle between the
USSR and the Russian Soviet Federative Socialist Republic (RSFSR, later
the Russian Federation), so the Chechens tried to take advantage and in
297 C. Brandt Ahrens, Chechnya and the Right of Self-Determination, in: Columbia Journal of Transnational Law, Vol. 42, 2004, p. 595 298 T. N. Tappe, Chechnya and the State of Self-Determination in a Breakaway Region of the Former Soviet Union: Evaluating the Legitimacy of Secessionist Claims, in: Columbia Journal of Transnational Law, Vol. 34, 1995, p. 273 299 C. Gall / T. de Waal, Chechnya, Calamity in the Caucasus, New York / London, 1998, p. 55 300 C. Brandt Ahrens, Chechnya and the Right of Self-Determination, in: Columbia Journal of Transnational Law, Vol. 42, 2004, p. 596 301 See W. Hayden, Seeds of Unrest: The Political Genesis of the Conflict in Chechnya (1990-1994), in: The Fletcher Forum of World Affairs, Vol. 24, 2000, pp. 52-53
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November 1990 the Chechen National Congress declared the sovereignty of
the Chechen-Ingush Republic.302
It has to be mentioned at this stage that, according to the intention of the
Congress, the entity would sign the union and federal treaties of the USSR
on equal footing with the union republics, and on 17 March 1991, the
majority of voters of the newly emerged political unit voted in favour of
preserving the USSR.303 It follows that the declaration made by the
Congress did not necessarily imply outright independence as a state. Indeed,
as it has been stressed, Yeltsin’s famous phrase (addressed to respective
subjects of the federation) -“take as much sovereignty as you can swallow”-
and subsequent development described as the “parade of sovereignties”,
demonstrated that after the declaration of Russian sovereignty in 1990, it
was fashionable to talk loosely about the notions of “sovereignty” and
“independence”.304 Thus, it has to be concluded that the proclamation of the
Congress mentioned above “was in this spirit, a declaration of intent to lay
claim to more economic and political power as the hold of Moscow over the
regions dwindled.”305
This state of affairs changed after Dudayev’s election and his declaration of
independent Chechnya. As the Soviet Union collapsed, and Russia was
accorded international recognition in December 1991, President Yeltsin
tried to preserve the federal structure of the state on the basis of the
arrangement, which would grant constituent republics the power over their
own foreign and economic affairs, with the exception of budgetary, defense
and currency issues, but Chechnya-Ingushetia and Tatarstan refused to sign
the Federation Treaty.306 In 1992 Ingushetia broke off from Chechnya in
order to remain in the Russian Federation.307 The Russian Federation
supported the Chechen opposition to Dudayev by military means, and tried
302 C. Brandt Ahrens, Chechnya and the Right of Self-Determination, in: Columbia Journal of Transnational Law, Vol. 42, 2004, p. 597 303 Ibid. 304 C. Gall / T. de Waal, Chechnya, Calamity in the Caucasus, New York / London, 1998, p. 83 305 Ibid. 306 L. P. Bellocchi, Recent Developments: Self-Determination in the Case of Chechnya, in: The Buffalo Journal of International Law, Vol. II, 1995, p. 186 307 Ibid., p. 187
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to get him overthrown, but all those efforts were unsuccessful and the
situation deteriorated to the extent that Russia invaded the republic in
December 1994.308
It was not the “small victorious war” hoped for by the Russian Defense
Minister Grachev, moreover, the outcome of the war was disastrous for the
Russian Federation. Russia was defeated and, as a consequence of this war,
the peace treaty, the Khasavyurt agreement, was signed on 31 August 1996
by a new Chechen leader, Aslan Maskhadov and the Russian Security
Council Secretary, Lt. General Alexander Lebed.309 This document
postponed the solution of the status of Chechnya for five years (until 31
December 2001), and the parties were obliged to avoid the use or threat of
force and respect the right to self-determination.310 In the “Treaty on Peace
and the Principles of Joint Relations between the Russian Federation and the
Chechen Republic Ichkeria” of May 12, 1997, parties agreed to refrain from
using force or the threat of force and to build their relations on the ground of
international law.311 It has to be noted at this point that the arrangement
described above was interpreted by the parties differently: Maskhadov
considered his republic as a sovereign independent state, as a subject of
international law, whereas the Kremlin regarded Chechnya as part of the
Russian Federation, albeit with a higher degree of independence than
Tatarstan.312
The fact is that the newly emerged Chechen Republic of Ichkeria, which
enjoyed de facto independence from Russia, was not accorded widespread
and substantive recognition by the members of the international community.
The attitude of western powers towards the problem of Chechnya during the
war was mostly guided by the assertion that what was happening there was
Russia’s “internal affair”:
308 J. G. Mathers, The Lessons of Chechnya: Russia’s Forgotten War?, in: Civil Wars, Vol. 2, 1999, p. 100 309 Ibid. 310 C. Gall / T. de Waal, Chechnya, Calamity in the Caucasus, New York / London, 1998, p. 359 311 T. A. Frommeyer, Power Sharing Treaties in Russia’s Federal System, in: Loyola of Los Angeles International and Comparative Law Journal, Vol. 21, 1999, p. 46 312 A. Frenkin, Lehren aus dem Tschetschenienkrieg, in: Europäische Sicherheit, 46. Jg., 1997, p. 40
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“[…] Western leaders wanted to give credit to the leader in Moscow for all
good things, while absolving him of responsibility for bad things by
claiming that his powers were limited. And then as now, most Western
leaders failed to see what the stakes were and how their approach, […] was
contributing to the very things that the Western elites said they did not
want.”313
Indeed, it was clear that the priority of the West was to see Yeltsin re-
elected and they were prepared to overlook what was going on in
Chechnya.314 It has been stressed that “The issue was really one of freedom
and human rights of a long-oppressed people.”315 Thus, the right of peoples
to self-determination was applicable to the case of Chechnya, but the
response of the international community did not support the claim aimed at
realizing the external self-determination, i.e. secession.
At the same time, the problem had its internal dimension, the situation
inside Chechnya was chaotic, and it can be asserted that Chechens failed to
build a modern viable state. After the election of Aslan Maskhadov as the
President of the Chechen Republic of Ichkeria in 1997, government posts
were handed out to radical Islamists, including one of the most prominent
warlords Shamil Basaev, who became deputy Prime Minister. Later Basaev
resigned in order to lead the opposition together with a radical Islamist
known as Ibn-ul Khattab.316 Shortly after Maskhadov’s election, the
warlords formed a council they called Majlis-ul Shura (People’s Council)
which was presided over by Basaev.317 It follows that parallel institutions
emerged within Chechnya itself, and warlords acquired their “spheres of
influence”.
A series of events altered the status quo drastically: in August 1999 Basaev
and Khattab led a group of mujahedeen into Dagestan, in support of an
313 P. A. Goble, Chechnya and Its Consequences: A Preliminary Report, in: Post-Soviet Affairs, Vol. 11, 1995, p. 26 314 C. Gall / T. de Waal, Chechnya, Calamity in the Caucasus, New York / London, 1998, p. 316 315 Ibid., p. 370 316 See M. Bowker, Russia and Chechnya: the issue of secession, in: Nations and Nationalism, Vol. 10, 2004, pp. 469-470 317 N. Abdullaev, Chechnya Ten Years Later, in: Current History, A Journal of Contemporary World Affairs, Vol. 103, 2004, p. 333
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Islamist uprising, and seized certain mountain districts. But the local
government, with the support of Russian troops, expelled the rebels, albeit
with significant losses. A month after that raid, the Chechens were blamed
by Moscow for explosions of apartment buildings in Russia, despite the fact
that no decisive evidence was found which would prove respective
assertions.318 As a consequence of this state of things, “In the early days of
October 1999, Russian tanks rolled into Chechnya for the second time.”319
Russia’s new leader, Vladimir Putin, declared victory in April 2000 but
rebels still fought a guerilla warfare and terrorist attacks were also carried
out. Moscow has responded with “zachistki”, which too often were
indiscriminate by their very essence, and many innocent Chechens were
affected by them and were taken to the “filtration centres”.320 These
circumstances demonstrate that the second Chechen campaign was an
extremely brutal one. In March 2003 a referendum was conducted in
Chechnya which certified the status of Chechnya as part of the Russian
Federation, and later in October Akhmad Kadyrov was elected as president
of Chechnya.321 Thus, the status of the Chechen Republic today is that of a
constituent entity of the Russian Federation.322
4.4.2 Assessment of the Chechen secessionist claim
As it is evident from these considerations, the international community has
not recognized secessionist self-determination in the case of Chechnya. The
case in question has been examined by Bellocchi in connection with EC
guidelines for the diplomatic recognition of former Soviet republics. It has
been stressed in respect of the period preceding the first military campaign
that democratic elections were held in Chechnya, and the peaceful principles
318 M. Bowker, Russia and Chechnya: the issue of secession, in: Nations and Nationalism, Vol. 10, 2004, p. 470 319 N. Abdullaev, Chechnya Ten Years Later, in: Current History, A Journal of Contemporary World Affairs, Vol. 103, 2004, p. 333 320 M. Bowker, Russia and Chechnya: the issue of secession, in: Nations and Nationalism, Vol. 10, 2004, p. 471 321 C. Brandt Ahrens, Chechnya and the Right of Self-Determination, in: Columbia Journal of Transnational Law, Vol. 42, 2004, p. 599 322 See Article 65 (1) of the Constitution of the Russian Federation, available on the official web portal of the President of Russia, at: http://www.kremlin.ru/eng/articles/ConstEng3.shtml [accessed: 20.07.2008]
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of the UN Charter were observed. On the other side, Russia violated those
principles by its aggression. As there was a requirement concerning the
respect for the rights of ethnic groups in those guidelines, it has been noted
that Chechnya allowed Ingushetia to secede peacefully, whereas Russia
reacted violently to Chechnya’s claim from the beginning, as it first tried to
send troops into the territory in question at the end of 1991. Furthermore,
the character of the war fought by Chechnya has been described as
defensive, Grozny was defended against an aggressor.
Regarding the requirement to settle questions of secession by agreement and
arbitration, it has been emphasized that Russia chose the use of armed force
instead of peaceful efforts.323 Moreover, it has also been submitted that
Chechnya satisfied the traditional or empirical criteria for statehood: a) the
long history and distinct culture of the Chechens, along with the autonomy
they enjoyed, denote the distinctness of the people and respective right to
self-determination under the subjective test; b) the Chechen government of
Jokhar Dudayev has claimed the territory of the Chechen-Ingushetia minus
the territory that the Ingush people had ceded from it, it contained a
population of approximately 750, 000 people, mainly of Chechen decent.324
Moreover, the Chechen claim to secession has been backed by a lack of
representativeness of the central government (in respect of the people in
question) and the notion of people’s choice: the Chechens have evidently
spoken on the issue of secession through the election of a secessionist
government under Dudayev, and through the wave of volunteers willing to
defend their homeland.325
Indeed, the degree of the lack of representativeness has been emphasized by
Charney, as he refers to the parallels which bear the cases of Chechnya and
Kosovo. This author notes that, in both instances, ethnic minorities sought
autonomy or independence from relatively non-democratic and dictatorial
regimes.326 At the same time, the Chechen claim to secessionist self-
323 L. P. Bellocchi, Recent Developments: Self-Determination in the Case of Chechnya, in: The Buffalo Journal of International Law, Vol. II, 1995, pp. 187-188 324 Ibid., p. 189 325 Ibid., p. 190 326 J. I. Charney, Self-Determination: Chechnya, Kosovo, and East Timor, in: Vanderbilt Journal of Transnational Law, Vol. 34, 2001, p. 456
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determination has been criticized by asserting that Chechnya’s path to
declaration of independence was a unilateral process devoid of efforts of
negotiated accommodation. It has been alleged that Chechnya managed to
secede, de facto, without a major use of force within the period of the
collapse of the USSR and the emergence of a relatively stable Russian
government two years later. But during the period of de facto independence,
the Chechens failed to build a viable state. At the same time, there was no
solid support accorded to the claim of Chechen self-determination, it
follows that the international community accepted the view that Chechnya
should remain a constituent part of Russia.327
It has been stressed by another author that Chechnya had no right in
domestic law to claim independence, as an autonomous republic, it had no
right to secede from the RSFSR or from its successor, the Russian
Federation. Furthermore, it has been noted that Chechnya rejected the
Federation Treaty and turned down participation in the referendum of
December 1993 (which created the Russian Federation), but the Russian
Constitutional Court in 1995 confirmed that Chechnya remained a
constituent part of the Russian Federation.328
The problem of the democratic deficit in Chechnya has also been regarded
as an impediment to the realization of external self-determination: even if
we accept that the majority wanted independence of Chechnya, it was clear
that a substantial minority did not. So, there was the problem of “trapped
minorities” which fled the republic after Dudayev assumed power, while
Ingushetia seceded from Chechnya to rejoin the Russian Federation.329 At
the same time, it has been emphasized by the author that this did not mean,
that Yeltsin had no choice but to resort to force. Reference has been made to
the statement of the former Prime Minister, Sergei Stepashin, who later
acknowledged that the war was a mistake, and the former Nationalities
Minister, Galina Starovoitova, also stated in an interview that it would have
327 Ibid., pp. 462-463 328 M. Bowker, Russia and Chechnya: the issue of secession, in: Nations and Nationalism, Vol. 10, 2004, pp. 472-473 329 Ibid., p. 473
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been possible for Yeltsin to achieve a compromise if he had made more
effort to meet with Dudayev directly.330
Doubts were raised, whether the decision to use force was in accordance
with the domestic legal order of the Russian Federation. In 1999 Yeltsin
faced impeachment charges on this issue and survived, despite the fact that
the majority in the State Duma voted in favour of impeachment, because the
constitution required an absolute two-thirds majority in such cases.331
Last but not least, it has been argued that independence would not
necessarily have saved Chechnya from Russian interference, this was
demonstrated by reference to Moscow’s military involvement in Georgia,
Moldova and Tajikistan. It has been stressed that, there is no reason to
submit the argument that independence would have brought peace and
stability to Chechnya: during the period of de facto independence, chaos
overwhelmed Chechnya and Moscow faced a security threat in Chechnya
before Yeltsin resorted to force. Furthermore, the governments of other
political entities in the region wanted Moscow to remain in the Caucasus,
because they feared that Chechnya’s instability could spread.332
With respect to the judgment of the Russian Constitutional Court, it has to
be stated that this judicial body applied the Friendly Relations Declaration
of 1970 (together with the constitutional law of the Russian Federation), in
order to prove the compatibility with the right of peoples to self-
determination of the constitutional goal of preserving the territorial integrity
of the Russian Federation.333 But as it has been stressed, the Court
misinterpreted the very essence of the saving clause enshrined in that
document: the Court failed to mention the last part of the saving clause,
according to which, only the state having a “representative government”
(i.e. the government making no distinction as to race, creed or color) can
claim that its right to territorial integrity supersedes the claims made in
furtherance of the secessionist self-determination.
330 Ibid., pp. 473-474 331 Ibid., p. 474 332 Ibid., p. 475 333 P. Gaeta, The Armed Conflict in Chechnya before the Russian Constitutional Court, in: EJIL, Vol. 7, 1996, p. 565
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Thus, the Court avoided the central question raised by the clause in
question: was the Russian government sufficiently representative and not
discriminating?334 It has been stressed that the determination of the Court,
emphasizing the compatibility with general international law of the
constitutional principle of Russia’s territorial integrity, could not be made
on the basis of the Friendly Relations Declaration without some
examination of the representativeness of the Russian government under the
test envisaged by that document:
“In other words, it appears that the Court jumped to a conclusion and simply
took it for granted that, under the 1970 Declaration and its saving clause, the
Chechen Republic was not entitled to the right to secession on the grounds
of the principle of self-determination.”335
Following flaws of the Chechen claim to external self-determination have
been considered by another author: a) Chechnya has never attained the level
of independence enjoyed by the Baltic States before their forcible
incorporation into the Soviet Union. In 1918 the Chechens were merely a
constituent part of the North Caucasus state which, despite obtaining limited
international recognition, collapsed after short period of time; b) Russia
never consented to Chechen independence and the latter has not been
recognized by the international community; c) the Soviet authorities grossly
and systematically violated fundamental rights of the Chechen people when
they were forcibly deported. But it can hardly be concluded that their
treatment by the Soviets, from the time of rehabilitation to the declaration of
independence by Dudayev, should be characterized as such. According to
this reasoning, it has been concluded that a given people’s right to secession
disappears, once the central government has corrected its behavior.336
At the same time, it has been noted that although Chechnya should not have
declared outright independence in 1991, the Russian invasion of 1994 and
subsequent behavior within the territory in question arguably violated the
334 Ibid., p. 566 335 Ibid. 336 C. Brandt Ahrens, Chechnya and the Right of Self-Determination, in: Columbia Journal of Transnational Law, Vol. 42, 2004, pp. 600-602
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right of the Chechens to internal self-determination.337 The assertion has
been made that, if Russia did not make a serious attempt to negotiate a
peaceful solution, the military intervention was clearly a violation of
Chechnya’s right to self-determination, but international law does not
support the view that violations of the right to self-determination cannot be
remedied.338
Tappe has suggested arguments backing the right of Chechnya to secession:
a) the Chechens are a distinct people, not an ad hoc group trying to gain
momentum and making off with an unfair share of the country’s wealth. The
distinctiveness of the Chechens from many other conquered territories is
expressed through the mere fact that the resistance to Russian rule continued
throughout the period of domination by the Soviet empire; b) Chechnya is
part of Russia only by the right of conquest. Despite the fact that yesterday’s
conquest cannot always be considered illegitimate today, it can be
considered suspect if the people have continuously rejected new rulers. The
Chechens have never accepted their forcible incorporation into Russia; c)
the Chechen claim contains historical factors, i.e. distinctiveness of the
people which maintained a strong sense of national identity, the claim to
respective territory, and the claim to independence confirmed by the
persistent rejection of their rulers.339
With regard to the behaviour of the secessionist elite it has been stressed
that contrary to certain reports, Dudayev was the spokesman of his people,
and not a dictator who would be overthrown at the first possible occasion.
Furthermore, although ethnic Russians made up over a fifth of Chechnya’s
population, it cannot be said that they had been subjected to mistreatment.340
The question concerning the absence of Chechnya’s constitutional right to
secession has been answered in the following way: the union republics of
the USSR were in reality no more independent than the provinces within the
Russian Empire, so, prior to the events leading to the dissolution of the
337 Ibid., p. 605 338 Ibid., p. 606 339 T. N. Tappe, Chechnya and the State of Self-Determination in a Breakaway Region of the Former Soviet Union: Evaluating the Legitimacy of Secessionist Claims, in: Columbia Journal of Transnational Law, Vol. 34, 1995, pp. 279-281 340 Ibid., p. 283
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Soviet Union, there was no possibility even for Russia to realize its textual
right to secede. The USSR simply would not have allowed it. It follows that
there seems to be little difference between the textual right mentioned
above, with no practical application, and no right at all. It follows that this
state of affairs cannot serve as a basis for the assessment of legality or
illegitimacy of secessionist claims.341
Thus, it has been stressed that, for the purpose of external self-
determination, the Chechen cause satisfied respective criteria which are
decisive in order to legitimately apply the notion of secession: “The case for
recognition based on a principled assessment of the Chechen situation
clearly reveals a “people” deserving international recognition of its legally
legitimate right to secede.”342
Despite this, the outcome of the Chechen case demonstrates that the
international community did not “legitimize” the claim of Chechnya aimed
at the realization of external self-determination, i.e. secession.
Preliminary remarks
The notion of secession cannot be regarded as an established right within
the realm of public international law. There is no right to secession
explicitly embodied and clearly defined in the treaty law, which could be
employed erga omnes. Even if we assume that certain instruments, such as
the Friendly Relations Declaration, express the opinio juris in regard to the
secessionist self-determination outside the colonial context and non-self-
governing territories (a highly questionable assertion in itself), the rule of
customary international law, concerning secession, cannot be regarded as
granted because of the lack of uniform practice, which is the second
inevitable component of this source of international law.
Thus, according to the established state of affairs, the erga omnes right of
peoples to self-determination does not imply that secession is also of erga
341 Ibid., p. 284 342 Ibid., p. 295 (emphasis in original)
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omnes application. The point here is that “the act of secession itself is not
one that is recognized directly in modern international law.”343 The
Supreme Court of Canada stressed that international law contains neither a
right of unilateral secession nor the explicit denial of such a right, although
this kind of denial has (to some extent) been considered implicit in
exceptional circumstances required for the application of secessionist self-
determination.344
Secession, as a form of the realization of external self-determination, is a
remedy which is activated in certain situations. But the outcome of a
secessionist struggle has to be legitimized by the international community
on the basis of recognition, in order to lead to the creation of an independent
state, as a member of the club of sovereign nations. This was done in the
cases of Bangladesh and Eritrea, but was rejected in other instances, for
example, in Biafra or Chechnya, although there was apparent evidence that
respective communities suffered grievous wrongs at the hands of central
governments.
Each and every single situation represents a unique case, and the validity of
the claim to secede has to be assessed on the ground of the consideration of
circumstances surrounding the instance in question. But the problem is that
the international community is not always guided by legal principles. It is
not rare that political reflections play a decisive role with regard to the
attitude of the international community towards secessionist conflicts. This
is demonstrated by the notorious example of Chechnya: while considering
NATO’s air campaign against Belgrade and its impact on the conflict in
Chechnya, Caplan draws following conclusion:
“The renewed Russian assault on Chechnya has perhaps been one of the
first instances of NATO’s wider impact […] Russia, a nuclear power, has
343 J. Castellino / S. Allen, Title to Territory in International Law, A Temporal Analysis, Aldershot / Burlington, 2003, p. 161 344 Reference Re Secession of Quebec, Canada, Supreme Court, 20 August 1998, in: Sir E. Lauterpacht et al., (eds.), ILR, Vol. 115, 1999, p. 580
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been less worried in this case about NATO’s humanitarian instincts than it
has been interested in the Atlantic Alliance’s military tactics.”345
This quotation shows that some (powerful) states are not as “vulnerable”
vis-à-vis the international community as others, and the international
community approaches the states in question with a certain degree of
precaution. This situation has its impact on the status of secessionist claims.
4.5 Secession and the principle of effectiveness
The emergence of a secessionist entity, and its success on the way to the
realization of the objectives of its political elite, depends on the ability of
the secessionists to establish effective control over the claimed territory.
This requirement is again connected with the goals which are inherent in the
phenomenon of secession, namely internal and external objectives. The
entity in question must assert itself on the internal plane and at the same
time, if it succeeds, this will back its quest for the international recognition,
as it has been asserted: “recognition is based on what already is rather than
on what should be.”346 Thus, we are led to the question, whether the
secessionist movement has been able to resist the imposition of force by the
“mother state” and to maintain effective control over the territory it
claims.347 The question is thus linked with the issue of the fulfilment of the
traditional or empirical criteria for statehood. These requirements serve as
guidelines for evaluating the merits of a secessionist claim, because if
independence is to be a realistic option, a government exercising effective
control over a definable territory and respective population is a must.348
The notion of effectiveness bears overwhelming importance for a
secessionist entity. The “attractiveness” of this manifestation is based on the
consideration that an entity that manages to secede, and to maintain
effective control over the territory in question, can after a period of time
345 R. Caplan, Humanitarian Intervention: Which Way Forward?, in: Ethics & International Affairs, Vol. 14, 2000, p. 35 346 L. M. Frankel, International Law of Secession: New Rules for a New Era, in: Houston Journal of International Law, Vol. 14, 1992, p. 534 (italics in original) 347 Ibid. 348 Ibid., p. 550
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acquire statehood, and even if the central government rejects the secession,
the entity in question can be accorded international recognition. But the
problem for this territorial unit is that it is not legally privileged in its
attempts, as it does not represent a subject of international law and the
central government will certainly maintain its claim to a respective territory:
“This entitlement would persist until the time when the entity had
demonstrated its effectiveness to the extent necessary for statehood.
However, in the absence of external recognition, it is difficult to identify
this point in time.”349
It is important to note that two concepts have been introduced in this regard:
an “effective entity” and a “self-determination entity”. It has been stressed
that the latter is internationally privileged long before it obtains effective
independence, whereas the entity which enjoys no such privilege and lacks
international legal protection of its position, has to face the threat or attempt
of forcible reincorporation and will only acquire the standing of a state “if it
wins decisively and with a prospect of permanence in its new status.”350 On
the other hand, the notion of secession, as a mode of the realization of the
right to self-determination, is closely connected with the latter. In order to
make an assessment of the claim to separation, it is necessary to define
eligible “self” in each and every single case and to determine the proper
entitlement. Thus, the following conclusion seems to be applicable to the
claims of secession:
“The best hope for the future of self-determination is to ask what is being
determined as well as who determines it, and not to assume that nationalists
can provide the best answer.”351
The problem is that there are still peoples “waiting” for the realization of
their right to self-determination. For example, it has been stressed with
regard to the case of Tibet that: a) historically it had the attributes of
statehood until it was forcibly incorporated into the PRC in 1951; b)
349 M. Weller, The Self-determination Trap, in: Ethnopolitics, Vol. 4, 2005, p. 9 350 Ibid. 351 M. Griffiths, Self-Determination, International Society and World Order, in: Macquarie Law Journal, Vol. 3, 2003, p. 49 (italics in original)
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because of their distinctive culture, their history as an independent nation
and the involuntary loss of the sovereignty, Tibetans are entitled to self-
determination; c) credible evidence exists that Tibetans have been subjected
to serious human rights violations at the hands of the Chinese.352 Despite
this, the 1989 Nobel Peace Prize awarded to the Dalai Lama has been
described as “the most significant measure of international support he has
received since 1950.”353 Bearing in mind these circumstances, it becomes
evident how complicated the right of peoples to self-determination really is.
This difficulty is confirmed by the next part of the present dissertation
dedicated to the case studies.
352 H. K. Josephs et al., Independence for Tibet: An International Law Analysis, in: China Law Reporter, Vol. VIII, 1994, p. 22 353 Ibid., p. 40
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Part II
Case Studies
The second part of the present dissertation is aimed at demonstrating the
attitude of the international community towards de facto states and to the
principle of effectiveness respectively, as de facto states have to be regarded
as different manifestations of the principle in question. It is the objective of
this second part to show all the peculiarities which these distinct territorial
units bear. In doing so, I would like to illustrate how different they are.
This part of the thesis encompasses five de facto states: the “Republic of
China on Taiwan”, the “Turkish Republic of Northern Cyprus”, the
“Republic of Kosovo”, the “Republic of Abkhazia” and the “Republic of
South Ossetia”. Each and every single case will be considered as a particular
manifestation of the principle of effectiveness on the basis of its distinctive
features. Thus, after the theoretical examination of the principle of
effectiveness in the first part, the practical treatment of de facto states by the
international community has to be explored at this stage.
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Chapter 5: The “Republic of China on Taiwan”
5.1 Political context
5.1.1 Designation of the territorial entity
I would like to begin my case study with the de facto territorial entity
known as Taiwan, or “formerly known as Ilha Formosa (“beautiful
island”).”354 It is important to emphasize the terminological diversity that
has been employed for the designation of the territory in question.355 The
present author will apply the terms “Taiwan”, the “Republic of China”
(ROC), or the “Republic of China on Taiwan” (ROCOT) throughout the
study. Even on the basis of this variety of terms, it becomes clear that the
status of Taiwan is a problematic issue. This problem has its own
characteristic features, which make the case in question a unique one.
5.1.2 History: 1895 – 1971
In 1895, as China was defeated by Japan in the Sino-Japanese War, Taiwan,
from 1886 a province of China, was ceded by the latter to Japan on the basis
of the Treaty of Peace signed by respective parties in Shimonoseki.356 Thus,
on the ground of the instrument of cession which brought about the shift in
sovereignty, Taiwan became part of the Japanese empire. Japan acquired the
status of a sovereign with regard to the territory in question.357 During the
354 D. G. Palmer Jr., Taiwan: De Jure or Not De Jure? That is the Question. An Analysis of Taiwan’s Legal Status Within the International Community, in: John F. Kennedy University Law Review, Vol. 7, 1996, p. 71 (emphasis in original) 355 “[…] the “Republic of China” (the official term in Taipei, used by some states that have full diplomatic relations with the ROC), the “Republic of China on Taiwan” (or “ROCOT”, in many ROC officials’ statements and draft resolutions for Taiwan’s “return” to the United Nations), the “Republic of Taiwan” (in the most radical iteration of the platform of Taiwan’s Democratic Progressive Party [DPP]), “China Taiwan” (the International Cotton Advisory Committee and Interpol), “Chinese Taipei” (Asia-Pacific Economic Cooperation [APEC] and the Olympics), “Customs Territory of Taiwan, Penghu, Kinmen, and Matsu” (applications to the General Agreement on Tariffs and Trade, and the World Trade Organization [GATT/WTO]), “Taipei, China” (Asian Development Bank), “Taipei” (in “Taipei Economic and Cultural Offices,” the surrogate embassy and quasi consulates in the United States), and “China (Taiwan)” (U.S. official listing of agreements).”, J. deLisle, The Chinese Puzzle of Taiwan’s Status, in: Orbis, A Journal of World Affairs, Vol. 44, 2000, p. 37 (emphases in original) 356 See H. Chiu, The International Legal Status of Taiwan, in: J. - M. Henckaerts (ed.), The International Status of Taiwan in the New World Order, Legal and Political Considerations, London et al., 1996, p. 3 357 See J. F. Copper, Taiwan: Nation-State or Province?, Boulder et al., 1990, p. 95
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Second World War the Chinese government, i.e. the government of the
ROC, formally declared war against Japan and, at the same time,
“proclaimed to abrogate all treaties, conventions, agreements, and contracts
regarding relations between China and Japan, including the Treaty of
Shimonoseki.”358 In 1943 Generalissimo Chiang Kai-shek, President
Roosevelt and Prime Minister Churchill issued the Cairo Declaration,
according to which, Formosa (among other territories) should be restored to
the ROC and this stipulation was confirmed by the Potsdam Declaration of
1945.359
According to the Instrument of Surrender which Japan signed in 1945,
General Order No. 1 was issued by the Office of the Supreme Commander
for the Allied Powers, ordaining the surrender of Japanese forces to
Generalissimo Chiang Kai-shek.360 In the same year, the government of the
ROC acquired control over Taiwan and announced that the latter had
obtained the status of a Chinese province.361 Thus, Taiwan became part of
the ROC ruled by the Chinese Nationalist Party, the Kuomintang (KMT),
but this state of affairs changed dramatically in 1949, when the government
of the ROC was defeated by the communists under the leadership of Mao
Zedong and was removed from power: “remnants of the government and
armies of the Republic of China (ROC) made their way to Taiwan.”362
In October 1949 Mao Zedong proclaimed the People’s Republic of China
(PRC) and, as a result of this state of things, “there were two Chinas.”363
This problem of “two Chinas” is a characteristic feature of the case of
Taiwan, the problematic issue of the Chinese identity is a hallmark of the
358 J. Shen, Sovereignty, Statehood, Self-determination, and the Issue of Taiwan, in: American University International Law Review, Vol. 15, 2000, p. 1108 359 P. Dai, Recognition of States and Governments under International Law with Special Reference to Canadian Postwar Practice and the Legal Status of Taiwan (Formosa), in: The Canadian Yearbook of International Law, Vol. III, 1965, pp. 302-303 360 H. Chiu, The International Legal Status of Taiwan, in: J. - M. Henckaerts (ed.), The International Status of Taiwan in the New World Order, Legal and Political Considerations, London et al., 1996, p. 4 361 Ibid. 362 R. H. Myers, Introduction: A Unique Relationship, in: R. H. Myers (ed.), A Unique Relationship, The United States and the Republic of China Under the Taiwan Relations Act, Stanford, 1989, p. 1 363 H. Kuijper, Is Taiwan a Part of China?, in: J. - M. Henckaerts (ed.), The International Status of Taiwan in the New World Order, Legal and Political Considerations, London et al., 1996, p. 13
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case in question. This conundrum had its immediate practical impact upon
the resolution concerning the question of Formosa. As the Treaty of Peace
was signed with Japan in 1951(The Treaty of San Francisco), it was done
without any Chinese participation, and the document entailed a clause, on
the basis of which, Japan renounced its rights, claims or titles with regard to
Formosa “without making any provision for the power or powers which
were to succeed Japan in the possession of and sovereignty over the ceded
territories.”364 The problem was that both, the Kuomintang and the Chinese
communists, claimed separately that they were sole representatives of the
Chinese people. For the Kuomintang, Mao’s supporters were “communist
bandits”365, and for the new masters of the Chinese mainland, every
adherent of the government which fled to Formosa was an enemy. Thus, at
the time of the conclusion of the Treaty of Peace in San Francisco, neither
representatives of the ROCOT, nor delegates of the PRC were invited to the
conference because of this “confusion” which prevailed among various
states concerning the issue of a legitimate representative of China.366
It has to be noted that later, in 1952, Japan signed the bilateral peace treaty
with the ROCOT and this treaty contained the renunciation clause which
was similar to that of the Treaty of San Francisco. Moreover, on the basis of
the instrument signed in 1952, Japan had renounced its rights and titles
regarding Taiwan “in accordance with Article 2 of the San Francisco Peace
Treaty.”367 At the same time, on the ground of this “new” document, all
treaties between China and Japan which were concluded before December
9, 1941, including the Treaty of Shimonoseki, became null and void.368
The question of Chinese identity hangs as the sword of Damocles over the
territory known as Taiwan. A tense relationship between the ROCOT and
364 P. Dai, Recognition of States and Governments under International Law with Special Reference to Canadian Postwar Practice and the Legal Status of Taiwan (Formosa), in: The Canadian Yearbook of International Law, Vol. III, 1965, p. 303 365 See K. Möller, A New Role for the ROC on Taiwan in the Post-Cold War Era, in: Issues & Studies, A Journal of Chinese Studies and International Affairs, Vol. 31, 1995, p. 68 366 See H. Chiu, The International Legal Status of Taiwan, in: J. - M. Henckaerts (ed.), The International Status of Taiwan in the New World Order, Legal and Political Considerations, London et al., 1996, pp. 4-5 367 Ibid., p. 5 368 Ibid.
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the PRC concerning the issue of a legitimate representative of China lasted
for a long period of time. In 1954 the United States and the ROC signed a
mutual security treaty, on the basis of which the US acquired the right to
station forces in Taiwan.369 The first major setback for the ROCOT on the
international plane came in 1971, when the United Nations General
Assembly (UNGA) decided:
“[…] to restore all its rights to the People’s Republic of China and to
recognize the representatives of its Government as the only legitimate
representatives of China to the United Nations, and to expel forthwith the
representatives of Chiang Kai-shek from the place which they unlawfully
occupy at the United Nations and in all the organizations related to it.”370
Thus, the ROC, which was a founding member of the United Nations371,
was ousted from this organization.
5.1.3 The ROC’s “derecognition” and the Taiwan Relations Act
Expulsion from the UN was a bad sign for the ROC, because the US was
going to normalize relations with the PRC. As a result of this situation, the
US and the PRC issued the Joint Communiqué in 1972 (known as the
“Shanghai Communiqué”), in which the government of the PRC reaffirmed
its position that it was the sole legitimate government of China and Taiwan
was a province of China, and its liberation was China’s internal affair.372 As
the culmination of this normalization of relations between the US and the
PRC, the Carter administration established diplomatic relations with the
PRC on January 1, 1979, and severed official ties with the ROCOT.373 It has
369 See R. Clough, The People’s Republic of China and the Taiwan Relations Act, in: R. H. Myers (ed.), A Unique Relationship, The United States and the Republic of China Under the Taiwan Relations Act, Stanford, 1989, p. 120 370 UNGA Res. 2758 (XXVI), Restoration of the lawful rights of the People’s Republic of China in the United Nations (25. 10. 1971), available on the official website of the UN, at: http://www.un.org/documents/ga/res/26/ares26.htm [accessed: 18.09.2008] 371 See Y. Shaw, Taiwan: A View from Taipei, in: Foreign Affairs, Vol. 63, 1985, p. 1050 372 Information regarding the Sino-US Joint Communiqué of 1972 available on the official website of the Ministry of Foreign Affairs of the People’s Republic of China, at: http://www.fmprc.gov.cn/eng/ziliao/3602/3604/t18006.htm [accessed: 18.09.2008] 373 See S. Lee, American Policy toward Taiwan: The Issue of the de facto and de jure Status of Taiwan and Sovereignty, in: The Buffalo Journal of International Law, Vol. 2, 1995-96, p. 323
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to be stressed that the document establishing formal diplomatic relations
between the US and the PRC recognized the government of the latter as the
sole legitimate government of China “but it did not confirm the PRC’s legal
claim to Taiwan.”374
Thus, it can be asserted that Taiwan suffered a diplomatic setback at a
critical stage of its development. But, at the same time, the US made a
decision to balance the situation regarding the ROCOT. This decision
denoted the enactment of an instrument with a compensatory character,
which would somehow reduce the negative effects of the calamity
experienced by Taiwan. This document is known as the “Taiwan Relations
Act” (TRA) and represents the law enacted by the Congress of the US, i.e. it
is not a treaty, as such, (the TRA came into force in 1979).375
It has to be mentioned that the enactment refers to the “people on
Taiwan”376 and entails important provisions which stipulate that the
adoption of the statute in question was important for “the continuation of
commercial, cultural and other relations between the people of the United
States and the people on Taiwan.”377 The reason, why the authorities in the
US decided to pass such an act, leads us to the principle of effectiveness.
Despite the fact that the US switched recognition from Taipei to Beijing, it
was an established fact that “the authorities in Taipei were clearly the real or
de facto government on Taiwan.”378 It follows that de facto control of the
ROC over Taiwan was an accomplished fact, a fait accompli which had to
be taken into consideration.
5.1.4 Content of the Taiwan Relations Act
The TRA provides for following important clauses among others: a) the fact
of derecognition of the ROC does not affect the application of the US laws
374 N. E. Bell, “Recognition” and the Taiwan Relations Act: An Analysis of U.S.-Taiwan Relations within the Realm of “Low” Politics, in: China Information, Vol. X, 1995, p. 23 375 See Public Law 96-8, 96th Congress, Taiwan Relations Act [April 10, 1979], in: ILM, Vol. XVIII, 1979, p. 873 376 Ibid. 377 Ibid., Sec. 2. (a)-2 378 J. K. Javits, Congress and Foreign Relations: The Taiwan Relations Act, in: Foreign Affairs, Vol. 60, 1981, p. 57
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with respect to Taiwan; b) whenever the laws of the US refer to foreign
states, such laws shall also apply to Taiwan; c) the capacity of Taiwan to sue
and to be sued in courts of the US according to the laws of the latter has
been confirmed, i.e. the absence of recognition has no negative impact in
this context; d) the continuation in force of all treaties and other agreements,
including multilateral conventions entered into by the US and the authorities
of the ROC and effective between them on December 31, 1978 (unless they
were terminated in accordance with law), has been approved.379
Thus, it can be asserted that the TRA introduced a sui generis regime of
relations between the US and the ROC on Taiwan. It is also of
overwhelming importance that according to the TRA, the US gives
meaningful security guarantees to Taiwan as the document stipulates that it
is the policy of the US:
“(4) to consider any effort to determine the future of Taiwan by other than
peaceful means, including by boycotts or embargoes, a threat to the peace
and security of the Western Pacific area and of grave concern to the United
States;”380
As it becomes evident from these considerations, the decision made by the
authorities of the US with regard to Taiwan was the issue bearing important
legal and political consequences. The relations between the US and the
ROCOT were considered to be “too complex not to have a legal basis”381,
but it has to be noted that the document in question has been criticized as
“an intensely political and ambiguous piece of legislation”382. Despite this
criticism, the TRA has to be considered as an important development for the
ROCOT. On the basis of this enactment, the Taiwanese representatives
essentially enjoy the same privileges in the US as the diplomats from
379 Sec. 4. (a); (b)-1,7;(c) of the Public Law 96-8, 96th Congress, Taiwan Relations Act [April 10, 1979], in: ILM, Vol. XVIII, 1979, p. 874 380 Sec. 2. (b) – 4 of the Public Law 96-8, 96th Congress, Taiwan Relations Act [April 10, 1979], in: Ibid., p. 873 381 H. Feldman, A New Kind of Relationship: Ten Years of the Taiwan Relations Act, in: R. H. Myers (ed.), A Unique Relationship, The United States and the Republic of China Under the Taiwan Relations Act, Stanford, 1989, p. 31 382 S. M. Goldstein / R. Schriver, An Uncertain Relationship: The United States, Taiwan and the Taiwan Relations Act, in: The China Quarterly, an international journal for the study of China, number 165, 2001, p. 170
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recognized states (except for the use of diplomatic license plates and
passports).383 Furthermore, a private non-profit corporation has been
established on the ground of the TRA called the “American Institute in
Taiwan” (AIT). According to the document, this body is “incorporated
under the laws of the District of Columbia”384 and its counterpart is the
“Coordination Council for North American Affairs” (CCNAA).
It has to be stated that the AIT has a contract with the US State Department
and in absence of diplomatic recognition, relations between the US and
Taiwan are maintained through the bodies mentioned above. This state of
affairs is described as “privatization of diplomatic relations.”385 Thus, it can
be asserted that the TRA has “lifted” the status of Taiwan after the US
derecognized the ROC. The impact of the TRA on the standing of the entity
in question has been summarized by Bell in a following manner:
“In spite of the “unrecognized” label, the TRA and supplemental
agreements have, to some extent, reestablished the United States’
recognition of Taiwan as a sovereign nation-state. The TRA establishes a
policy of functional equality, notwithstanding Taiwan’s formal difference
from recognized states [...]”386
Thus, the TRA can be considered as significant “compensation” for the
ROC’s derecognition by the US.
5.1.5 From “one China” policy to “total diplomacy”
After the diplomatic setback suffered by the ROCOT, Taiwan had to
reappraise its policy with regard to the PRC. It was the politics of “one
China” which had been practiced by the authorities on Formosa, denoting
that China, as such, is the ROC. This posture had its basis in the claim of the
ROC government that it was the sole legitimate ruler of China, it was the 383 See S. Pegg, International Society and the De Facto State, Aldershot / Brookfield, 1998, p. 185 384 Sec. 6. (a)-1 of the Public Law 96-8, 96th Congress, Taiwan Relations Act [April 10, 1979], in: ILM, Vol. XVIII, 1979, p. 875 385 S. Pegg, International Society and the De Facto State, Aldershot / Brookfield, 1998, p. 185 386 N. E. Bell, “Recognition” and the Taiwan Relations Act: An Analysis of U.S.-Taiwan Relations within the Realm of “Low” Politics, in: China Information, Vol. X, 1995, p. 25 (emphasis and italics in original)
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philosophy and ideology based on Sun Yat-sen’s ideals and the struggle
against communist rivals.387
Indeed, as the authorities of the ROCOT regarded themselves as the sole
legitimate representatives of the whole of China, their attitude towards the
members of the international community of states was somewhat cautious, if
the issue of Chinese identity was in question. Bearing in mind this
circumstance, Möller asserts that the Taiwanese authorities pursued the
policy which was similar to the Hallstein Doctrine, i.e. the governing elites
of the ROCOT made their external relations with different states dependent
upon the stance of those partners towards Beijing.388 This was also “a policy
of “three nos”- no contact, no negotiation, no compromise”389 with Beijing,
but it had to be modified since there were new realities and new challenges
for Taiwan.
It was the reality that after the “derecognition” of the ROC by the UN and
the US, it was the government in Beijing which assumed a leading role with
regard to the question of Chinese identity. Subsequently, according to Deng
Xiaoping’s unification formula of “one state, two systems” (1984), Taipei
was allowed “to maintain its social and economic system, its armed forces
and its unofficial ties with foreign countries.”390 This statement expresses
the shift which took place in the context of the Chinese identity, now it was
the PRC which acquired dominance in respect of the issue in question, and
Taiwan became Beijing’s “next “territorial ambition.””391
It has to be noted that Beijing’s overture was an additional factor, which
backed Taipei’s decision in the mid-1980s to change its diplomatic strategy
and to turn to “total diplomacy” or “pragmatic diplomacy” (sometimes this
policy is also described as “flexible diplomacy”). This was a new posture
adopted by respective authorities which, among other elements, included
387 See C. Chao, Taiwan’s Identity Crisis and Cross-Strait Exchanges, in: Issues & Studies, A Journal of Chinese Studies and International Affairs, Vol. 30, 1994, p. 5 388 K. Möller, A New Role for the ROC on Taiwan in the Post-Cold War Era, in: Ibid., Vol. 31, 1995, p. 70 389 C. Chao, Taiwan’s Identity Crisis and Cross-Strait Exchanges, in: Ibid., Vol. 30, 1994, p. 6 (emphasis in original) 390 See G. Huan, Taiwan: A View from Beijing, in: Foreign Affairs, Vol. 63, 1985, p. 1065 391 D. Duncanson, What Is Taiwan to China?, in: Asian Affairs, Vol. XVII (Old Series Volume 73), 1986, p. 288 (emphasis in original)
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“the expansion of substantive relations with non-communist and anti-
communist countries.”392 The policy mentioned above was aimed at
strengthening the presence of Taiwan on the international plane, for
example, by the means of promoting the ROCOT’s membership in different
institutions. This attitude inevitably entailed important compromises on the
part of the Taiwanese authorities as, for instance, they accepted the
designation “Taipei, China” used by the International Olympic Committee
(IOC) and the Asian Development Bank (ADB).393
In 1987 ordinary residents of Taiwan were allowed to visit mainland China,
as the respective ban had been lifted by the authorities of the ROCOT.394
One of the most important events in the cross-Strait relationship came four
years later: “with the termination of the “Period of Mobilization for the
Suppression of Communist Rebellion” in 1991, Taiwan ended its official
“state of war” with the mainland.”395
5.1.6 Cross-strait relations and Beijing’s “Anti-Secession Law”
It has to be stressed that “unofficial” links have been developed between the
ROCOT and Beijing through private bodies such as the Straits Exchange
Foundation (SEF) on Taiwan and the Association for Relations Across the
Taiwan Straits (ARATS) on mainland China. It has been emphasized that,
although these institutions are officially private, they are not entirely civilian
organizations as, for example, the SEF is financed two-thirds by the
government and one-third by the private sector.396 One important aspect of
these relations is that the SEF and the ARATS have the competence to hold
negotiations on the establishment of direct links, i.e. they do have
392 B. S. J. Weng, Taiwan’s International Status Today, in: The China Quarterly, an international journal for the study of China, No. 99, 1984, p. 465 393 See S. Pegg, International Society and the De Facto State, Aldershot / Brookfield, 1998, p. 184 394 See C. Lo / J. Lin, Between Sovereignty and Security: A Mixed Strategy Analysis of Current Cross-Strait Interaction, in: Issues & Studies, A Journal of Chinese Studies and International Affairs, Vol. 31, 1995, p. 66 395 Ibid., (emphasis in original) 396 L. Wu, Limitations and Prospects of Taiwan’s Informal Diplomacy, in: J. - M. Henckaerts (ed.), The International Status of Taiwan in the New World Order, Legal and Political Considerations, London et al., 1996, p. 49
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responsibilities reaching far beyond the sphere of arranging technical
matters.397
In the same year that the SEF and the ARATS were set up, namely in 1991,
the ROCOT adopted the Guidelines for National Unification. Two main
principles were enshrined in the document: according to the first one, there
is one Chinese territory but two political entities do exist, and in accordance
with the second approach, the question of unification has to be decided in
the future, after the requirements of the process of unification, which
encompasses three phases, are met.398 There have been different answers
from the side of the PRC, including “the Eight Points of President Jiang
Zemin” (1994)399, but the most important and impressive response to the
authorities of the ROCOT came in 2005 when the PRC’s legislature passed
the Anti-Secession Law “which codified Beijing’s threat to go to war if
Taiwan declared independence”400. Thus, by adopting the Anti-Secession
Law, Beijing gave an unequivocal answer to the governing elites of the
ROCOT. This response is enshrined in Art. 8 of the enactment which reads
as follows:
“In the event that the “Taiwan independence” secessionist forces should act
under any name or by any means to cause the fact of Taiwan’s secession
from China, or that major incidents entailing Taiwan’s secession from China
should occur, or that possibilities for a peaceful reunification should be
completely exhausted, the state shall employ non-peaceful means and other
necessary measures to protect China’s sovereignty and territorial
integrity.”401
397 Ibid., p. 50 398 See J. - P. Cabestan, The Cross-Strait Relationship in the Post-Cold War Era: Neither Reunification Nor “Win-Win” Game, in: Issues & Studies, A Journal of Chinese Studies and International Affairs, Vol. 31, 1995, p. 31 399 See C. Tsai, The Development of Cross-Strait Policies in China and Taiwan, in: J. - M. Henckaerts (ed.), The International Status of Taiwan in the New World Order, Legal and Political Considerations, London et al., 1996, pp. 225-226 400 R. S. Ross, Taiwan’s Fading Independence Movement, in: Foreign Affairs, Vol. 85, 2006, p. 145 401 Article 8 of the Anti-Secession Law (Adopted at the Third Session of the 10th National People’s Congress on March 14, 2005), available on the official website of the National People’s Congress of the People’s Republic of China, at: http://www.npc.gov.cn/englishnpc/Law/2007-12/13/content_1384099.htm [accessed: 22.09.2008]
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It is important to note that the enactment was designed to reiterate the
principles of the Constitution of the PRC. The Anti-Secession Law confirms
and emphasizes Beijing’s following posture toward the question of Taiwan:
there is one China in the world and both, the mainland and Taiwan belong to
one China, furthermore, it is stated in the same provision that “Taiwan is
part of China.”402
Bearing in mind the importance attached by the PRC to the issue of Taiwan,
it becomes clear that the law in question belongs to the high level within the
hierarchy of normative acts of the PRC. Indeed, according to Keyuan, the
rank of the Anti-Secession Law is equivalent to the category of the Basic
Laws of Hong Kong and Macao.403
Of course, Art. 8 of the Anti-Secession Law is a warning issued by the
authorities of the PRC to respective actors on the island, if they were to
declare statehood and try to transform “a de facto reality - Taiwan’s
independence - into a legal one.”404 This new challenge to Beijing was a
product of a new reality within the realm of the cross-Strait relations, and as
during the rule of Chiang Kai-shek there was no “danger” that Taiwan
would declare independence from the mainland China405, this situation was
changed later with the strengthening of the Democratic Progressive Party
(DPP). According to one author, Chen Shui-bian has waived the “privilege”
of declaring independence (demanded by the DPP) merely because he
believed that Taiwan was already sovereign.406
Thus, the Anti-Secession Law was a response to the aspirations of certain
actors on Taiwan’s political stage. The PRC expressed its will, not to
renounce the possibility of the use of force against the island, if non-
peaceful means are needed, in order to guard China’s sovereignty and
territorial integrity from the possible infringement.
402 See Article 2 of the Anti-Secession Law, in: Ibid. 403 Z. Keyuan, Governing the Taiwan Issue in Accordance with Law: An Essay on China’s Anti-Secession Law, in: Chinese JIL, Vol. 4, 2005, p. 458 404 T. J. Christensen, Chinese Realpolitik, in: Foreign Affairs, Vol. 75, 1996, p. 50 405 See A. J. Nathan, What’s Wrong with American Taiwan Policy, in: The Washington Quarterly, Vol. 23, 2000, p. 94 406 See M. O’Hanlon, Why China Cannot Conquer Taiwan, in: International Security, Vol. 25, 2000, p. 51
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5.2 International legal context
5.2.1 Taipei and Beijing: the normative shift from “one China” to the
“special state to state relationship”
Taiwan’s effectiveness, or to say precisely, the effectiveness of the Republic
of China on Taiwan (ROCOT) involves different international legal aspects
and the existence of the entity in question has to be considered in relation to
these manifestations. It is important to note that the emergence of this
territorial unit is connected with the struggle between the Chinese
Nationalists and the People’s Liberation Army of the Chinese Communists,
i.e. the forces led by the Chinese Communist Party. It follows that the
ROCOT is a product of a civil war fought by respective parties.
At the same time, the revolutionary change of the Chinese government is the
issue related to the present problem. Bearing in mind the fact that, for a long
period of time, there were claims of both sides asserting that each one was a
legitimate representative of China, it has to be concluded that during this
period, as a consequence of “one China” policy, the ROCOT regarded itself
as an entity having the legal title to the whole Chinese territory (i.e.
including the mainland China governed by the communist government). The
same can be said with regard to the authorities in Beijing, as they asserted
their claim to the island. Thus, in that period of time, there was no question
of Taiwan’s separate existence, the problem was Chinese identity.
As the authorities of the ROCOT changed their diplomatic strategy due to
the setback suffered in the field of international relations, the issue of
Taiwan’s independence became a problem. This change represented a
normative shift in the situation, because respective political elites tried to
drift towards the status of a sovereign independent state. An attempt which
underscores the assertion stated above was the ROC’s unsuccessful UN
campaign of 1994/95, aimed at regaining its seat in the world
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organization.407 Furthermore, the Taiwanese President Lee Teng-hui made
the following statement in an interview given in 1999:
“Seit der Verfassungsänderung von 1991 befinden sich die Beziehungen
über die Taiwan-Straße auf einer zwischenstaatlichen Ebene, zumindest ist
es ein besonderes zwischenstaatliches Verhältnis.”408
Moreover, in the same interview the President referred to the issue of
sovereignty stressing that “die Republik China ist ein souveräner und
unabhängiger Staat”409, emphasizing the result of political developments
which occurred within the realm of relations between Beijing and Taipei.
Thus, the alleged statehood of the political entity became a problem. The
fact is that so far, Taiwan has not declared statehood, as such, and its
national holiday is still the Republic Day, anniversary of the Chinese
Revolution, 10 October 1911.410 By the declaration of statehood I mean the
assertion of the claim to independent existence in the form of a separate
state, and the announcement of the fact of establishment of a sovereign
state, i.e. independent from the Chinese mainland. Of course, the ROC has
been a sovereign independent state since 1912, and after the civil war and
the subsequent retreat of the Nationalist government from mainland China
to the island in 1949, the ROCOT maintained its claim of being the sole
legitimate representative of China. It follows that the ROCOT regarded
itself as a state in the plain meaning of this word.
In the 1970s Taiwan suffered a period of major diplomatic setbacks, and the
latter has modified its policy since then, made it more practical and
adaptable to its pragmatic interests. This period of time has to be regarded
as a watershed in respect of the Taiwanese claim to separate existence. After
the developments mentioned above, the authorities of the ROCOT drifted
407 See D. G. Palmer Jr., Taiwan: De Jure or Not De Jure? That is the Question. An Analysis of Taiwan’s Legal Status Within the International Community, in: John F. Kennedy University Law Review, Vol. 7, 1996, pp. 76-77 408 Interview des Präsidenten der Republik China, Lee Teng-hui, mit der Deutschen Welle am 9. Juli 1999, available on the website of the Journal Internationale Politik (IP), at: http://www.internationalepolitik.de/archiv/jahrgang1999/september99/ [accessed: 24.09.2008] 409 Ibid. 410 Information available on the official website of the CIA, at: https://www.cia.gov/library/publications/the-world-factbook/geos/tw.html [accessed: 24.09.2008]
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towards the possible declaration of statehood on many occasions. The
culmination was the period of rule of the pro-independence movement
personified in Chen Shui-bian and the DPP.
Thus, Taiwan experienced the following transformation: after the claim to
represent the whole Chinese people, i.e. the single Chinese identity (“one
China” policy), the demand for separate existence from mainland China was
born. This development denoted the appearance of the problem of the
double Chinese identity, or to say precisely, the issue of one China and one
Taiwan as distinct sovereigns. The state of affairs described above was a
product of the ROCOT’s derecognition by the UN and the US and
subsequent developments in this respect.
5.2.2 Significance of the declaration of statehood
Despite this qualitative shift with regard to the character of the problem,
there was no formal declaration of statehood on the part of the authorities in
Taipei. As with regard to the interview of the President Lee Teng-hui it has
been stressed that his statement concerning the “special state to state
relationship” across the Taiwan Strait cannot be regarded as a declaration of
statehood for following reasons: a) the declaration of statehood is a solemn
statement which, according to the modern custom, has to be made officially
in the governmental document and not in a casual manner in an interview;
b) the content of the statement made by Lee Teng-hui does not indicate that
it can be considered as a declaration of statehood; c) subsequent statements
by the President denote that he had no intention of declaring statehood.411 It
follows that in making the statement concerning the notion of “special state
to state relations”, the Taiwanese President “was just seeking an equal
footing in negotiation with the PRC government.”412
The adoption by the PRC of the Anti-Secession Law in 2005 clearly
reduced the “risk” of declaring statehood by the Taiwanese political elite.
411 See Y. F. Chiang, State, Sovereignty, and Taiwan, in: Fordham International Law Journal, Vol. 23, 2000, p. 985 412 Ibid.
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What legal impact does the non-declaration of statehood have on the status
of the ROCOT? The question has to be answered at this point.
According to Chiang, the practice of establishing a state by making a
respective declaration represented an international custom in the twentieth
century and now it has acquired the character of a legal rule.413 Furthermore,
the declaration of statehood encompasses two important aspects: it denotes
the existence of the claim to statehood and, at the same time, it is an
announcement to the international society that the political entity in question
is a state (from the time of the respective declaration).414 Thus, the formal
assertion of the claim to statehood is an important manifestation:
“The declaration implies that it is the common will of the people to establish
a state. Unless otherwise indicated, the declaration takes effect instantly, so
that the political entity that has the other qualifications acquires statehood at
the time of the declaration. Because the declaration is, by definition, the
beginning of the state’s existence, it does not have retroactive effect.”415
Thus, the ROCOT has not declared statehood, as such, i.e. independent
existence as a state, independent from the Chinese mainland.
5.2.3 Acceptance enjoyed by Taiwan on the international plane and
“legal metamorphosis” of the status of this territorial entity
Taiwan maintains extensive relations with different members of the
international community on the basis of a sophisticated system of contacts at
the official and semi-official levels. There are states which officially
recognize the ROCOT and the relations between them are conducted on the
basis of formal diplomatic channels. It has to be stressed that Taiwan has its
embassies in 23 countries and 92 representative and branch offices which
fulfil the functions of embassies in 59 countries.416 At the same time, 48
states which do not maintain formal diplomatic ties with Taiwan, have 413 Ibid., p. 972 414 Ibid., p. 973 415 Ibid. 416 Information available on the official website of the Government Information Office, Republic of China, at: http://www.gio.gov.tw/ct.asp?xItem=35621&ctNode=2588 (Published: 2008/1/14), [accessed: 27.09.2008]
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established their representative or visa-issuing offices.417 Taiwan applied for
the new membership of the UN in 2007 but the application was rejected by
the Secretariat of the organization.418
Bearing in mind these considerations, and the fact that despite its
derecognition by the US, Taiwan is actually treated by the latter as an
independent state on the basis of the TRA, it has to be asserted that if the
status of a territorial entity can be depicted as a sui generis one, it is first of
all the ROCOT, to which this description is applicable. The entity in
question was a sovereign independent state which, after the Communist
revolution of 1949 and subsequent expulsion of its authorities to the island,
was transformed into a de facto local government (at least at the moment
when the members of the international community and the UN began to
recognize the PRC as the sole representative of the Chinese nation). This de
facto local government consolidated its power and, after nearly sixty years
of firmly established factual and independent existence, became a fully-
fledged de facto state. This political entity has not declared statehood, as
such, but it maintains diplomatic relations with certain states and with those
countries, which do not recognize it formally, the entity in question
conducts practically the same relations on the basis of semi-official
representative offices. Thus, Taiwan is treated as a state despite the fact that
it has not declared statehood.
5.2.4 Ex factis jus oritur: traditional criteria for statehood and Taiwan
The issue of the traditional criteria for statehood has to be analyzed in two
directions: according to the first one, which is the pro-PRC version, Taiwan
is a province of China, i.e. the constituent part of the PRC, because it does
not satisfy even the empirical criteria for statehood. The second argument is
a pro-ROCOT one, emphasizing Taiwan’s independent existence and its
readiness to achieve the ultimate goal of becoming a sovereign state. It is
important at this point to summarize respective arguments.
417 See Ibid. 418 Information available on the official website of the Government Information Office, Republic of China, at: http://www.gio.gov.tw/ct.asp?xItem=35619&ctNode=2588 [accessed: 27.09.2008]
125
Let us begin with the pro-PRC reasoning. Shen asserts that 97 percent of the
Taiwanese people are ethnic Han Chinese and there is no difference in this
sense between them and the permanent population of any other province of
mainland China. Thus, as a consequence of this state of things, the
permanent population of Taiwan has to be regarded as a part of the
permanent population of the Chinese state, as such, regardless of its
designation.419 As with regard to the requirement of the defined territory,
this author stresses that to claim statehood, an entity in question must own
the territory which is free from claims by any other entity, but the territory
of Taiwan can be owned solely by the Chinese state, as such, and although
the authorities of the ROCOT exercise factual control over the territory in
question, they do not possess a legal title to that territory. Consequently,
they do not have the capacity to legally detach the territory controlled by
them from the mainland China, until the latter abandons its sovereignty over
the Taiwan Island.420 It follows that the ROCOT does not possess the
territory of its own and the sovereign authority over such a territory, and this
fact is a legal impediment on the way of acquisition of statehood.421
With regard to the notion of government, the author emphasizes the fact that
this manifestation encompasses both, factual and legal dimensions, i.e.
effectiveness of the governing authority and the legal title, the government’s
exclusive sovereign right to control the territory in question.422 Bearing in
mind these considerations, Shen concludes that the authorities of the
ROCOT represent a special local government, because they do not meet the
cumulative requirements of effectiveness and the legal title (they satisfy
solely the criterion of effectiveness) in order to validly claim the status of
the government for the purposes of statehood.423
The author proceeds further to the examination of the criterion concerning
the capacity to enter into relations with other states. After stating that the
notion of sovereignty is an inherent part of the criterion in question,
419 J. Shen, Sovereignty, Statehood, Self-determination, and the Issue of Taiwan, in: American University International Law Review, Vol. 15, 2000, p. 1127 420 Ibid., p. 1129 421 See Ibid., p. 1130 422 Ibid., p. 1132 423 Ibid., p. 1133
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denoting the legal competence of a respective entity to participate in
international relations, Shen arrives at the conclusion that it is solely the
government of the PRC, which is in possession of the sovereignty over
Taiwan (and, as a consequence of this state of affairs, the PRC has the
authority to enter into relations with other states on behalf of the entire
Chinese state, including Taiwan).424
Thus, Shen’s argumentation is quite interesting as this author concludes that
the ROCOT fails to satisfy even the “Montevideo criteria” of statehood. It
can be asserted at this point that the reasoning with regard to the
requirement of the permanent population is based on the ethnic affinity
between the people living on both sides of the Taiwan Strait. With respect to
the requirements concerning the defined territory and the government, the
absence of a territorial title has been considered as a decisive matter. The
lack of sovereignty has been regarded as an obstacle for the ROCOT on the
way of meeting the requirement concerning the capacity to enter into
relations with other states. The argument regarding the last criterion has
been based by Shen on the position of “China” (to say precisely, the PRC)
that Taiwan is an inalienable part of China, given that this attitude was
shared by the authorities of the ROCOT at least until the 1990s, and the fact
that the international community recognizes this in addition to the
circumstance that the government of the PRC is the sole legitimate
representative of the entire China.425
It is meaningful at this stage to refer to the pro-ROCOT version in the
context of the traditional criteria for statehood. According to Palmer, the
essence of the requirement of permanent population is the quality of
stability, and despite the fact that the majority of the population of the
territory in question is of Chinese descent, they consider themselves as
possessing “Taiwanese” nationality, and they do not regard themselves as
citizens of China separated from the motherland. Moreover, nationality, as
424 See Ibid., pp. 1134-1139 425 Ibid., p. 1139
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such, has no relevance to the notion of permanent population.426 After
reference to the fact that the population of Taiwan has been stable and
permanent since the establishment of the ROCOT in 1949, and bearing in
mind the circumstance that the population in question has been represented
solely by the government of the ROCOT which later initiated democratic
reforms, the author concludes that Taiwan meets the requirement of the
permanent population.427
As with regard to the criterion of the defined territory, it has been stressed
that the territory of Taiwan has been under the exclusive control of the ROC
since 1945. So, it follows that respective authorities have established
effective control over a stable political community in that defined area
without interruption for a significant period of time, and the fact that the
PRC also claims the territory in question has no relevance to the issue of
Taiwan’s effective control over the area.428
Concerning the requirement of an effective government, Palmer asserts that
since 1945 the ROC has exercised exclusive control over domestic and
international affairs. It has maintained its own legislative, executive and
judicial functions, has controlled its own military forces and, for a long
period of time, the ROC exercised full control over the territory and the
population in all spheres of the government to the exclusion of all other
political entities.429
With respect to the capacity to enter into relations with other states, it has
been stressed that although the ROCOT has been forced to conduct its
relations with foreign states on the basis of “unofficial” channels, it actually
maintained its foreign relations in an exclusive manner and, as a
consequence of this state of things, Taiwan satisfies the criterion in
question.430 Palmer draws the conclusion that Taiwan satisfies the
traditional criteria for statehood. Moreover, according to this author, in the
426 D. G. Palmer Jr., Taiwan: De Jure or Not De Jure? That is the Question. An Analysis of Taiwan’s Legal Status Within the International Community, in: John F. Kennedy University Law Review, Vol. 7, 1996, p. 85 427 Ibid., p. 86 428 See Ibid. 429 Ibid., pp. 87-88 430 Ibid., p. 90
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context of the traditional criteria for statehood, and under the declaratory
view of statehood which excludes the notion of international recognition as
a criterion of a state’s existence, “Taiwan has also established a strong case
of de jure statehood as a matter of law.”431
These are different views concerning Taiwan’s status in the context of the
traditional or empirical criteria for statehood. The considerations mentioned
above demonstrate that the standing of the entity in question varies from the
status of a province within the Chinese state to independent existence and an
already established “strong case of de jure statehood”.
5.2.5 The de facto state option for the Republic of China on Taiwan
In an article published in 1992, Qin argued that Taiwan can only be
considered as a non-state territorial entity, because respective authorities in
Beijing and Taipei agree that Taiwan is a province of China, not a sovereign
state.432 This author stresses that Taiwan has independently conducted
foreign relations and despite the fact that it has used specific designations in
this context, Taiwan, as a non-state territorial entity, enjoys certain
international personality.433 In respect of different agreements concluded
between the ROCOT and foreign states, it has been stressed that on the basis
of entering into those agreements with Taiwan, respective states “have
recognized de facto Taiwan’s international personality for certain specific
purposes other than political and diplomatic relations.”434
According to Yahuda, by the end of the 1980s Taiwan had all the
advantages of independence: it was a self-governing entity with its own
military forces and a de facto security alliance with the US, it maintained
diplomatic ties with certain countries and extensive economic relations with
the majority of states, the entity in question lacked only the formalities of an
431 Ibid., (italics in original) 432 Y. Qin, GATT Membership for Taiwan: An Analysis in International Law, in: New York University Journal of International Law and Politics, Vol. 24, 1992, p. 1082 433Ibid., p. 1085 434Ibid.
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internationally recognized sovereignty.435 Yahuda points out that the
problem of Taiwan is essentially connected with the PRC, because the
ROCOT’s international standing cannot be taken for granted as it is relative
to the status of the PRC.436
These considerations denote that the designation “de facto state” is the most
appropriate one in the case of Taiwan. It follows that the ROCOT satisfies
the traditional criteria for statehood but it lacks substantive recognition as a
state. Despite the fact that 23 countries recognize it, and those which do not
recognize it officially, treat Taiwan as an independent state on the basis of a
sophisticated system designed for the maintenance of foreign relations, the
ROCOT lacks substantive recognition as a state. On the basis of the criteria
of substantive recognition enunciated by Pegg, it can be stressed that
Taiwan is not recognized as a state by any major power of the day.437 It is
not recognized by the entity which can be regarded as a “mother state” in
this context, namely the PRC. Moreover, as was demonstrated on the basis
of the politics maintained by the PRC and the Anti-Secession Law adopted
by Beijing, the latter will certainly have objections, if other countries decide
to recognize the ROCOT as a state. Furthermore, it cannot be said that
Taiwan is recognized by neighboring countries.
Taiwan is not recognized as a state by the majority of members of the UN
General Assembly. As with regard to the fifth requirement concerning the
participation in global and regional international organizations, it can be
stressed that Taiwan enjoys membership in certain international
organizations438 but it failed to rejoin the UN. In sum, it can be asserted that
435 M. Yahuda, The International Standing of the Republic of China on Taiwan, in: The China Quarterly, an international journal for the study of China, No. 148, 1996, p. 1319 436 Ibid., p. 1339 437 Following political entities maintain diplomatic relations with Taiwan: Belize, Burkina Faso, Dominican Republic, El Salvador, The Gambia, Guatemala, Haiti, Holy See, Honduras, Kiribati, Saint Lucia, Marshall Islands, Nauru, Nicaragua, Palau, Panama, Paraguay, Saint Kitts and Nevis, Saint Vincent and the Grenadines, São Tomé and Princípe, Solomon Islands, Swaziland, Tuvalu. Information available on the official website of the Government Information Office, Republic of China, at: http://www.gio.gov.tw/ct.asp?xItem=35621&ctNode=2588 (Published: 2008/1/14), [accessed: 02.10.2008] 438 Among them are: ADB, APEC, IOC, WTO. See Information available on the official website of the CIA, at: https://www.cia.gov/library/publications/the-world-factbook/geos/tw.html [accessed: 03.10.2008]
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Taiwan does not meet the majority of the five requirements considered
above and, as a result of this state of things, it lacks substantive recognition.
It follows that the ROCOT satisfies the traditional criteria for statehood and
the lack of substantive recognition is its hallmark.
Further argument backing my assertion that Taiwan is the de facto state
concerns another aspect of the definition of de facto statehood introduced by
Pegg, namely the presence of organized political leadership receiving
popular support and providing governmental services to the population in a
respective territorial area. In an article published in 1979, Li discussed the
possible attitude of the US towards the ROCOT after severing diplomatic
relations with it:
“Although the ROC is no longer regarded by the United States as a de jure
government or state, it continues to control a population and territory while
carrying out the usual functions of a government.”439
This author made an interesting prognosis with regard to the status of
Taiwan stating the following:
“The use of the de facto entity approach by the United States would provide
the best means to assist Taiwan in making the transition from a state
representing all of China to an entity with some new and still undefined
status.”440
This is exactly what happened to Taiwan. From the local de facto
government the ROCOT was transformed into an entity operating in a legal
limbo, to say precisely, Taiwan became a fully-fledged de facto state. Thus,
Taiwan represents the de facto state and this designation is applicable to the
subject of examination of my thesis. The following statement seems to be
correct as a conclusion with regard to Taiwan’s status: “Until Taiwan asserts
439 V. H. Li, The Law of Non-Recognition: The Case of Taiwan, in: Northwestern Journal of International Law & Business, Vol. 1, 1979, pp. 135-136 (italics in original) 440 Ibid., p. 145 (italics in original)
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its independence, it cannot be a state. In all other respects Taiwan is ready
for statehood.”441
At the same time, Taiwan has not made a formal declaration of
independence. This circumstance has to be regarded as an impediment to the
progress regarding the acquisition of the status of a state, as such, because
“lawful proclamation of a state is conditio sine qua non for the de iure
emergence of a state.”442 This state of things is also problematic in respect
of the definition of de facto statehood applied in the present study. One
important feature of the de facto state is that it seeks full constitutional
independence and widespread international recognition as a sovereign
independent state. It is true that the authorities of the ROCOT strive for
recognition of the political entity in question, but they have not officially
declared full constitutional independence from the mainland China, despite
the fact that the governing elites of Taiwan consider this entity as already
being sovereign. But it is also a fact that effective control is maintained by
the ROCOT over the territory it claims to be its own, and this effectiveness
lasts for a significant period of time. Thus, it can be asserted that Taiwan is
the de facto state and this designation is an appropriate one, also for the
purposes of the present thesis.
441 N. L. Wallace-Bruce, Taiwan and Somalia: International Legal Curiosities, in: Queen’s Law Journal, Vol. 22, 1997, p. 467 442 R. Lefeber / D. Raič, Frontiers of International Law, Part One: The Chechen People, in: LJIL, Vol. 9, 1996, p. 1 (italics in original)
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Chapter 6: The “Turkish Republic of Northern Cyprus”
6.1 Political context
6.1.1 History: 1878 – 1960
Cyprus, an island in the Mediterranean which was part of the Ottoman
Empire from 1571, was assigned by the imperial Sultan of Turkey in 1878
“to be temporarily occupied and administered by Britain.”443 Thus, the
United Kingdom acquired de facto sovereignty over the island, whereas de
jure sovereignty was still that of Turkey.444 Cyprus was annexed by the
United Kingdom in 1914 when the Ottoman Empire entered the First World
War, and this annexation was “legalized” in 1923 under the Treaty of
Lausanne in which the British sovereignty over Cyprus carried the consent
of Turkey and Greece.445
It has to be noted at this point that the ethnic composition of the island is its
important characteristic feature. The majority of the population is
represented by the Greek Cypriots which, after the establishment of Greece
as a nation state in 1831, pursued the policy of Enosis (unification of Cyprus
with Greece) which was part of the wider Panhellenic movement.446 As a
result of this situation, from the moment when Cyprus became the British
colony in 1925447, anti-colonial sentiments among the Greek Cypriots were
quite strong, because Britain was regarded as the main obstacle on the way
to the realization of Enosis. After an unsuccessful attempt in 1931 made in
furtherance of unification with Greece, the Greek Cypriots intensified the
struggle for Enosis since the end of the Second World War.448 This time it
was the anti-colonial partisan organization EOKA (“Ellenikos Organismos
Kypriakon Agoniston – Hellenic Organization for the Struggle for
443 N. M. Ertekün, The Cyprus Dispute and the Birth of the Turkish Republic of Northern Cyprus, Nicosia North, 1984, p. 1 444 S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, p. 68 445 N. M. Ertekün, The Cyprus Dispute and the Birth of the Turkish Republic of Northern Cyprus, Nicosia North, 1984, p. 1 446 See O. P. Richmond, Decolonisation and Post-Independence Causes of Conflict: The Case of Cyprus, in: Civil Wars, Vol. 5, 2002, pp. 172-173 447 S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, p. 69 448 See N. M. Ertekün, The Cyprus Dispute and the Birth of the Turkish Republic of Northern Cyprus, Nicosia North, 1984, p. 2
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Cyprus”)449 which gained momentum and established itself as the fighter for
the cause of Enosis. The Turkish Cypriot response to the latter policy was
Taksim which meant “a division of the island between Greece and Turkey in
a dual exercise of self-determination.”450
In the 1950s Greece attempted to internationalize the claims of the Greek
Cypriot community through the appeals to the UN General Assembly.451 By
1955 Britain agreed to accept the realization of self-determination “by the
territory (rather than by its people) sometime in the future.”452 As it turned
out, this “future” was not too distant, and the necessity to solve the problem
became obvious, as of 1957 Turkey adhered to the idea of double self-
determination on the island (i.e. the partition of Cyprus).453 Thus, the United
Kingdom was willing to settle the problematic issue of Cyprus.
6.1.2 The birth of the Republic of Cyprus and its breakup
After the tripartite negotiations conducted between Britain, Greece and
Turkey, an agreement was reached in Zurich in 1959 regarding the structure
of the government of Cyprus.454 The establishment of the Republic of
Cyprus was regarded as a solution to the problem. In the same year, an
agreement was concluded in London between Turkey, Greece and the
United Kingdom (representatives of two Cypriot communities, Archbishop
Makarios and Dr Fazil Küçük attended the London Conference as
observers) about the Basic Structure of the Republic of Cyprus.455
The Treaty of Establishment of the Republic of Cyprus was concluded in
1960 between Cyprus, Greece, Turkey and the United Kingdom, together
449 Ibid., p. 10 450 O. P. Richmond, Decolonisation and Post-Independence Causes of Conflict: The Case of Cyprus, in: Civil Wars, Vol. 5, 2002, p. 174 451 See Ibid. 452 Ibid., p. 175 453 S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, p. 72 454 See S. Palmer, The Turkish Republic of Northern Cyprus: Should the United States Recognize It as an Independent State?, in: Boston University International Law Journal, Vol. 4, 1986, p. 430 455 See S. Talmon, Kollektive Nichtanerkennung illegaler Staaten, Grundlagen und Rechtsfolgen einer international koordinierten Sanktion, dargestellt am Beispiel der Türkischen Republik Nord-Zypern, Jus Publicum, Beiträge zum Öffentlichen Recht, Bd. 154, Tübingen, 2006, p. 12
134
with the Treaty of Guarantee, and the Treaty of Alliance between the newly
established Republic of Cyprus, on the one hand, and Greece and Turkey,
on the other.456 One important consequence of this process was that the
Treaty of Guarantee prohibited all actions aimed at the achievement of
political or the economic form of Enosis or Taksim.457
The compromise achieved on the basis of the Zurich and London
Agreements provided for: “(a) a bi-national independence; (b) resting on the
political equality and administrative partnership of the two communities; (c)
who were given full autonomy in what were strictly defined as communal
affairs; […]”458.
Thus, as the most important outcome of these developments, the Republic of
Cyprus came into existence in 1960. But, after a period of time, it became
clear that the statehood in that form would not be regarded as a lasting
solution. The events which took place in 1963 can be regarded as the
beginning of the end of the Republic of Cyprus in the form designed in
1960. After the constitutional crisis of 1963 which was caused by the
Turkish Cypriot veto on certain legislative acts, and the subsequent response
of President Makarios who introduced constitutional amendments which
were rejected by the Turkish partner, violence broke out between the two
communities of the island.459 It was the outbreak of civil war, and this
whole confrontation was escalated by the fact that the armed forces of both
Greece and Turkey, which were stationed on the island in accordance with
the provisions of the Treaty of Alliance, got involved in the conflict.460
In 1965 the United Nations Force in Cyprus (UNFICYP) was dispatched
into the country, the two communities were divided in Nicosia by the
“Green Line”.461 After another crisis in 1967, and the subsequent attempt to
reach a reasonable solution by means of negotiations between the two
communities, the situation was beyond control in 1974 when the Greek 456 Ibid., p. 13 457 Ibid. 458 N. M. Ertekün, The Cyprus Dispute and the Birth of the Turkish Republic of Northern Cyprus, Nicosia North, 1984, p. 7 459 See S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, pp. 74-75 460 Ibid., p. 75 461 Ibid., p. 76
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Cypriot National Guard, under the command of Greek officers, put into
effect a planned coup d’etat. After they overthrew the Makarios
government, Nikos Sampson, a leader backing Enosis was installed as
president.462 As a result of this situation, Turkey invaded the island in the
same year and justified its action on the basis of the Treaty of Guarantee.463
These events were followed by the proclamation of the Autonomous
Turkish Cypriot Administration in 1974 and, as the next step, the Turkish
Federated State of Cyprus was proclaimed in 1975.464
Thus, it was a tragic reality that the Republic of Cyprus, designed to settle
the problems of ethnic communities on the island, failed to achieve that
goal. In 1963 the Turkish Cypriots left the government of the Republic of
Cyprus and formed their own political structures within the borders of self-
administered enclaves, “leaving” the Greek Cypriots in full control of the
government which also formally represented the Turkish community, but
this was not the case in practice.465 It was thus the beginning of separation,
instead of initiating the realization of “unity in diversity” in the Cypriot
context:
“The 1960 Republic of Cyprus was a brief three-year experiment that did
not meet the nervous expectations of its Turkish Cypriot constituency and,
consequently, also failed the aspirations of its Greek Cypriot majority in
whose image the Republic functioned.”466
6.1.3 The emergence of the TRNC and subsequent developments
On 15 November 1983, the Legislative Assembly of the Turkish Federated
State of Cyprus declared the establishment of the Turkish Republic of
462 S. Palmer, The Turkish Republic of Northern Cyprus: Should the United States Recognize It as an Independent State?, in: Boston University International Law Journal, Vol. 4, 1986, p. 437 463 Ibid., p. 438 464 See M. Soysal, A Solution for Cyprus Through Statehood, in: Perceptions, Journal of International Affairs, Vol. IV, 1999, p. 59 465 See E. Berg, Pooling Sovereignty, Losing Territoriality? Making Peace in Cyprus and Moldova, in: TESG, Vol. 97, 2006, pp. 225-226 466 B. Bartmann, Facing New Realities: The Turkish Republic of Northern Cyprus and Unrecognised States in the International System, in: Perceptions, Journal of International Affairs, Vol. IV, 1999, pp. 51-52
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Northern Cyprus (TRNC).467 It was stated in the proclamation mentioned
above that the creation of the TRNC was the realization of the Turkish
Cypriot community’s right to self-determination. The newly established
republic would fulfill its obligations stemming from the treaties binding it,
including the Treaty of Guarantee, it would seek the establishment of a bi-
zonal and bi-communal federal republic of two communities and, according
to the declaration, the newly emerged republic rejected unification with any
other state, except for the southern part of the island.468 Turkey recognized
the republic immediately.469
But in contrast to Turkey, the proclamation of the TRNC was not welcomed
by the international community. There was an immediate response from the
UN, namely the Security Council. The latter passed the Resolution 541
(1983) in which it:
“1. Deplores the declaration of the Turkish Cypriot authorities of the
purported secession of part of the Republic of Cyprus;
2. Considers the declaration referred to above as legally invalid and calls for
its withdrawal; [...]
6. Calls upon all States to respect the sovereignty, independence, territorial
integrity and non-alignment of the Republic of Cyprus;
7. Calls upon all States not to recognize any Cypriot State other than the
Republic of Cyprus; [...]”470
It has to be stressed at this point that an attempt aimed at creating the TRNC
was regarded as invalid, because respective declaration was considered to be
incompatible with the 1960 Treaty of Establishment and the Treaty of
Guarantee concluded in the same year.471
467 See Z. M. Necatigil, The Cyprus Question and the Turkish Position in International Law, Oxford, 1989 (reprinted in 1990), p. 174 468 See Ibid. 469 Ibid., p. 175 470 UNSC Res. 541 (1983) of 18 November 1983, paras. 1, 2, 6, 7, in: Resolutions and Decisions of the Security Council (1983), SCOR 38, United Nations, New York, 1984, pp. 15-16 (italics in original) 471 See Ibid., p. 15
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Another important resolution regarding the issue of Cyprus was adopted by
the UN Security Council in 1984 and the TRNC was considered as an entity
being “legally invalid”.472
It has to be mentioned that the documents cited above, namely the
Resolution 541 of the Security Council and the Resolution 550 are both
important, as they reflect the attitude of the world organization through its
principal organ, but neither of them is binding “because they were not
adopted under Chapter VII and did not contain a reference to Article 25 of
the Charter. Nor did their terms imply that the resolutions were intended to
be binding.”473 In sum, the attitude of the Security Council of the UN
towards the TRNC, the position expressed in the resolutions mentioned
above, denotes that the view of the Turkish Cypriot community, which
regarded the establishment of a new state as the realization of its right to
self-determination, was considered to be causeless.474
On 24 April 2004, in a referendum concerning the reorganization of the
model of a Cypriot state and the accession of the latter to the EU, the Greek
Cypriots voted against the respective plan elaborated by Kofi Annan, the
Secretary-General of the UN.475 This plan foresaw the establishment of the
United Cyprus Republic as a bi-communal federal state, i.e. with two
communities which would enjoy equal rights within constitutive parts of
that entity, these parts being the Greek Cypriot State and the Turkish
Cypriot State.476 Another feature of that state was its bi-zonal character,
according to which, both communities would live in separated territories
and they would determine the political system of each territorial unit
independently in every way possible.477 But as it was mentioned above, the
Greek Cypriots disapproved the plan. It has to be noted at this point that, as
472 UNSC Res. 550 (1984) of 11 May 1984, in: Resolutions and Decisions of the Security Council (1984), SCOR 39, United Nations, New York, 1985, p. 12 473 D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43,The Hague et al., 2002, p. 124 474 See R. White, Recognition of States and Diplomatic Relations, in: ICLQ, Vol. 37, 1988, p. 983 475 See S. Talmon, Luftverkehr mit nicht anerkannten Staaten: Der Fall Nordzypern, in: AVR, Bd. 43, 2005, p. 1 476 H. - J. Axt, Zypern: der Annan-Friedensplan und sein Scheitern, in: Südosteuropa Mitteilungen, Jg. 44, 2004, p. 50 477 Ibid.
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a result of this development, only the Greek part of the island acceded to the
EU.478
6.2 International legal context
6.2.1 The essence of a problem
It can be asserted that the most important hallmark of the TRNC is regarded
to be the invasion of the Turkish military forces. This fact is also considered
as a “point of origin” of the entity in question. But it has to be stressed that
there are other important circumstances surrounding the issue of the
separate existence of the Turkish Cypriot community.
Talmon points out that the problem of recognition became problematic in
1964, as the government of the Republic of Cyprus consisted only of the
Greek Cypriot members, i.e. the problem existed before the proclamation of
the TRNC.479 According to the author, one of the major obstacles on the
way to the solution of the Cypriot problem is, from the point of view of the
Turkish Cypriot community, the fact that, in 1964, the UN recognized the
government which was comprised solely of the Greek Cypriots, as the
government of the entire republic.480 Thus, not only the military intervention
by Turkey, but also the fact of establishment of the Republic of Cyprus (in
the treaty-based form) has to be considered. The developments after that
establishment are important as well. Other meaningful aspects of the
assessment mentioned above are the resolutions of the UN Security Council.
6.2.2 Content of the 1960 arrangement and the problem of its validity
The most important provisions of the Treaty of Guarantee refer to the very
essence of the new Cypriot state. According to the first article of the
document:
478 Ibid., p. 49 479 See S. Talmon, Kollektive Nichtanerkennung illegaler Staaten, Grundlagen und Rechtsfolgen einer international koordinierten Sanktion, dargestellt am Beispiel der Türkischen Republik Nord-Zypern, Jus Publicum, Beiträge zum Öffentlichen Recht, Bd. 154, Tübingen, 2006, p. 41 480 Ibid.
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“The Republic of Cyprus undertakes to ensure the maintenance of its
independence, territorial integrity and security, as well as respect for its
Constitution.
It accordingly declares prohibited any activity likely to promote, directly or
indirectly, either union with any other State or partition of the Island.”481
Further provisions of the treaty concern common responsibilities of all the
parties to the agreement in question:
“Article II. Greece, Turkey and the United Kingdom, taking note of the
undertakings of the Republic of Cyprus set out in Article I of the present
Treaty, recognise and guarantee the independence, territorial integrity and
security of the Republic of Cyprus, and also the state of affairs established
by the Basic Articles of its Constitution.
Greece, Turkey and the United Kingdom likewise undertake to prohibit, so
far as concerns them, any activity aimed at promoting, directly or indirectly,
either union of Cyprus with any other State or partition of the Island.”482
The most important stipulation of the document in question has its direct
relevance to the problem of Turkish military intervention in 1974, as this
article deals with the procedure which must be followed, if concerted or
individual action by the guarantors is needed, in order to ensure the
restoration of the legal situation provided for by the treaty:
“Article IV. In the event of a breach of the provisions of the present Treaty,
Greece, Turkey and the United Kingdom undertake to consult together with
respect to the representations or measures necessary to ensure observance of
those provisions.
In so far as common or concerted action may not prove possible, each of the
three guaranteeing Powers reserves the right to take action with the sole aim
of re-establishing the state of affairs created by the present Treaty.”483
481 Article I of the Treaty of Guarantee signed at Nicosia, on 16 August 1960, UNTS, Vol. 382, No. 5475, p. 4, available on the official website of the UN, at: http://untreaty.un.org/unts/1_60000/11/17/00020815.pdf [accessed: 12.10.2008] 482 Article II of the Treaty of Guarantee signed at Nicosia, on 16 August 1960, in: Ibid. 483 Ibid., p. 6
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Thus, bearing in mind the tensions between the two communities on the
island which represented the constituent parts of the newly emerged
republic, it has to be asserted that these provisions represented the very
foundation of that entity, because they symbolized the framework of the
Republic of Cyprus.
It has to be stressed at this point that the validity of the 1960 treaties has
been challenged, because the representatives of two Cypriot communities
were not present when the draft treaties and the constitution were
prepared.484 Thus, the question arises, whether those treaties were imposed
on the population of the island. According to Palmer, despite the fact that
the treaties were entered into from positions of unequal bargaining power,
this state of things cannot be regarded as coercion and such treaties have to
be considered valid.485 It has to be noted that Art. IV has been criticized as
contravening the jus cogens norms of non-intervention in a state’s internal
affairs and state sovereignty.486 Moreover, the General Assembly of the UN
passed the resolution concerning the 1960 arrangement enshrined in the
Treaty of Guarantee, in which, one of the main bodies of the world
organization made the following statement in respect of the issue of Cyprus:
“1. […] the Republic of Cyprus, as an equal Member of the United Nations,
is, in accordance with the Charter of the United Nations, entitled to enjoy,
and should enjoy, full sovereignty and complete independence without any
foreign intervention or interference;”487
It can be asserted that this was a warning issued by the UN General
Assembly denoting that the situation in the republic was a problematic one.
Furthermore, in the same document the Assembly:
“2. Calls upon all States, in conformity with their obligations under the
Charter, and in particular Article 2, paragraphs 1 and 4, to respect the
484 See S. Palmer, The Turkish Republic of Northern Cyprus: Should the United States Recognize It as an Independent State?, in: Boston University International Law Journal, Vol. 4, 1986, p. 431 485 Ibid., p. 432 486 Ibid. 487 UNGA Res. 2077 (XX) of 1965, para. 1, available on the official website of the UN, at: http://www.un.org/documents/ga/res/20/ares20.htm [accessed: 12.10.2008]
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sovereignty, unity, independence and territorial integrity of the Republic of
Cyprus and to refrain from any intervention directed against it;”488
Thus, the world organization expressed its concern about the application of
Art. 2 (1, 4) of the Charter of the UN. These provisions represent the norms
of fundamental character, they can be regarded as the basis of the
contemporary international legal system, and the reference to these legal
rules demonstrates how acute the problem really was. But this state of
affairs does not affect the validity of the Treaty of Guarantee by 1960.
According to Blay, despite the fact that it is accepted that the treaty in
question was a limitation of the sovereignty of Cyprus, and subsequently
inconsistent with the notion of sovereign equality of states, the validity of
the treaty has never been seriously questioned. The limitations of
sovereignty mentioned above did not have any negative impact on the
validity of the treaty, public international law is familiar with such cases.489
This author correctly asserts that with the admission of Cyprus in 1960, the
UN “impliedly conceded that whatever the provisions of the treaty were,
they were consistent with the Charter in so far as the sovereignty of the
territory was concerned.”490 Thus, the Treaty of Guarantee was valid in
1960 and it is important to clarify the issue of the unilateral declaration of
independence (UDI) in the context of that agreement.
6.2.3 The UN Security Council Resolution 541 (1983) and the binding
character of the 1960 arrangement
The resolutions passed by the UN Security Council are important
components of the legal aspect of the Cypriot problem. It is true that these
documents were not formally binding, but they are nevertheless significant
in the context of implications of the UDI made by the Turkish Cypriot
community. Thus, in the preamble of the Resolution 541 (1983), the UN
Security Council, concerned about the declaration of the Turkish Cypriot
488 See para. 2 of the UNGA Res. 2077 (XX) of 1965, in: Ibid. (italics in original) 489 S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, pp. 80-81 490 Ibid., p. 81
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authorities aimed at creating an independent state in the northern part of the
island, deplored the proclamation:
“Considering that this declaration is incompatible with the 1960 Treaty
concerning the establishment of the Republic of Cyprus and the 1960 Treaty
of Guarantee,
Considering, therefore, that the attempt to create a “Turkish Republic of
Northern Cyprus” is invalid, and will contribute to a worsening of the
situation in Cyprus, [...]”491
According to Talmon, the invalidity of the UDI was based by the Security
Council on its incompatibility with respective treaties of 1960, but how can
the invalidity of the declaration of independence be deduced from the
incompatibility with the treaty provisions, is explained neither in the
document itself, nor in the debates held before its adoption.492 The author
asserts that the Turkish Cypriot community was not party to the treaties
mentioned in the text of the resolution and, even if it had been the party to
those agreements, the declaration of independence would have amounted to
a breach of the treaty provisions, not the invalidity of the declaration in
question.493
The issue, whether respective communities of the island were bound by the
treaties mentioned above, is an interesting one. Krieger points out that, in
accordance with Art. I of the Treaty of Guarantee, the Republic of Cyprus
obliged itself to maintain its independence, territorial integrity and security
and not to pursue union with any state or partition of the island. It follows
that although the addressee of that legal obligation is the Republic of Cyprus
in its entirety, it is also true that the leaders of two communities signed the
491 UNSC Res. 541 (1983) of 18 November 1983, in: Resolutions and Decisions of the Security Council (1983), SCOR 38, United Nations, New York, 1984, p. 15 (italics in original) 492 S. Talmon, Kollektive Nichtanerkennung illegaler Staaten, Grundlagen und Rechtsfolgen einer international koordinierten Sanktion, dargestellt am Beispiel der Türkischen Republik Nord-Zypern, Jus Publicum, Beiträge zum Öffentlichen Recht, Bd. 154, Tübingen, 2006, p. 49 493 Ibid.
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document on behalf of the Republic of Cyprus, as such, so this could be
regarded as the basis of the obligation of ethnic communities.494
Thus, the Republic of Cyprus, as such, consisted of the communities
mentioned above and the Turkish Cypriots, as well as the Greek Cypriots,
were parties to the treaty mentioned above, the parties with their clearly
defined duties, because the agreement in question can be significant only if
it binds respective communities of the island.495 This circumstance leads us
to a further problematic issue, namely whether the regulation of a
relationship between communities of one particular state, i.e. the question of
domestic character, can validly be the subject of an international legal
arrangement. As international law is primarily concerned with relations
between states, the problem of its application to a state’s internal sphere
arises. According to Blay, the possibility of this kind of application does
exist in the present context and the cases like this are regarded as sui generis
by their very nature: “Thus after the signing of the 1960 Treaty of Guarantee
the general legal position was that each community was legally bound by
the treaty provisions.”496 Indeed, as Krieger puts it:
“[…] der Garantievertrag ist dahingehend zu verstehen, daß er als Garantie
gegen das Verhalten einer der Vertragsparteien gerichtet ist. Die Einhaltung
gewisser interner Strukturen bedeutet die Einlösung völkerrechtlicher
Rechte und Pflichten.”497
According to this author, the assertion regarding the application of treaty
provisions to both communities is backed by the text of the UN Security
Council Resolution 367 (1975)498 in which the principal organ of the world
organization made following statements with respect to the status of
constituent ethnic communities of the island:
“2. […] representatives of the two communities on an equal footing, […] 494 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 242 495 Ibid. 496 S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, p. 82 497 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 242 498 Ibid.
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6. […] to convene the parties under new agreed procedures […]
7. Calls upon the representatives of the two communities to co-operate
closely with the Secretary-General […]”499
Furthermore, as it has been stressed in another authoritative source of public
international law, in its Resolution 541 (1983) the UN Security Council, on
the basis of the reference to the “Turkish Cypriot authorities”, perhaps
accorded them “some undefined degree of recognition”500. Bearing in mind
these considerations, it has to be concluded that the two communities of the
island, as such, were legally bound by the provisions of the Treaty of
Guarantee.
But it is also true that the Resolution 541 (1983) did not invalidate the UDI
of the Turkish Cypriots. According to Talmon, the Security Council
considered the declaration as legally invalid, it did not abrogate that
proclamation but expressed its legal position:
“Der Sicherheitsrat gab seine Rechtsansicht wieder; insoweit scheint er
lediglich eine Feststellungsfunktion zu erfüllen. Ein gewisser Widerspruch
besteht darin, daß die Zurücknahme […] einer ungültigen Erklärung
gefordert wird – was ungültig ist, braucht logischerweise nicht
zurückgenommen werden.”501
This author asserts that the reactions to the proclamation of the TRNC
suggest that the declaration made by the Turkish Cypriot community was
not simply a fact having no legal effect. So, the concern expressed with
regard to the possibility of establishing an independent state in the northern
part of the island and the demand, not to recognize any Cypriot state other
499 UNSC Res. 367 (1975) of 12 March 1975, paras. 2, 6, 7, in: Resolutions and Decisions of the Security Council (1975), SCOR 30, United Nations, New York, 1976, pp. 1-2 (italics in original) 500 Sir R. Jennings / Sir A. Watts (eds.), Oppenheim’s International Law, 9th ed., Vol. I (Peace), Harlow, 1992, p. 190 501 S. Talmon, Kollektive Nichtanerkennung illegaler Staaten, Grundlagen und Rechtsfolgen einer international koordinierten Sanktion, dargestellt am Beispiel der Türkischen Republik Nord-Zypern, Jus Publicum, Beiträge zum Öffentlichen Recht, Bd. 154, Tübingen, 2006, p. 50
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than the Republic of Cyprus, demonstrate that the Security Council wished
to avoid the recognition of the TRNC as an independent state.502
6.2.4 The UN Security Council Resolution 550 (1984)
Further important document of the UN Security Council concerning the
problem of Cyprus was the Resolution 550 (1984). In this resolution the
principal organ of the world organization:
“2. Condemns all secessionist actions, including the purported exchange of
ambassadors between Turkey and the Turkish Cypriot leadership, declares
them illegal and invalid and calls for their immediate withdrawal;
3. Reiterates the call upon all States not to recognize the purported State of
the “Turkish Republic of Northern Cyprus” set up by secessionist acts and
calls upon them not to facilitate or in any way assist the aforesaid
secessionist entity;”503
Thus, the UN Security Council described the TRNC as a “secessionist
entity” but at the same time, it referred to the notion of occupation as this
authoritative body expressed the concern “about the further secessionist acts
in the occupied part of the Republic of Cyprus”504. This reference denotes
that the Security Council regarded the territory in question as being under
foreign occupation. It is important to note that the designation “secessionist
entity” has been considered as a demonstration of a certain degree of
independence of the TRNC:
“Die Bezeichnung der TRNZ als »sezessionistisches Gebilde« spricht, wie
bereits die Bezugnahme auf die »türkisch-zyprischen Behörden« in
Resolution 541 (1983), für die Anerkennung einer gewissen
Eigenständigkeit und Rechtsfähigkeit der TRNZ.”505
502 Ibid. 503 UNSC Res. 550 (1984) of 11 May 1984, paras. 2, 3, in: Resolutions and Decisions of the Security Council (1984), SCOR 39, United Nations, New York, 1985, p. 13 (italics in original) 504 Ibid., p. 12 505 S. Talmon, Kollektive Nichtanerkennung illegaler Staaten, Grundlagen und Rechtsfolgen einer international koordinierten Sanktion, dargestellt am Beispiel der
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Bearing in mind the fact that both Cypriot communities were legally bound
by the Treaty of Guarantee at the time of its conclusion, it is important at
this stage to examine whether the UDI made by the Turkish Cypriot
leadership was in conformity with that agreement.
6.2.5 The Turkish Cypriot UDI in the context of the Treaty of
Guarantee
It is a historical fact that, as a consequence of the Greek-sponsored coup
d’etat of 1974, the Greek Cypriot National Guard overthrew the government
of the Republic of Cyprus. It has to be stressed at this point that this act was
aimed at realizing Enosis because the pro-Enosis leader, namely Nikos
Sampson, was installed as president. According to Blay, the coup amounted
to the de facto realization of Enosis in violation of Greece’s obligations
under the treaty.506
With regard to Turkish military intervention, it has to be noted that
according to Art. IV of the Treaty of Guarantee, the action taken by an
individual guaranteeing state must necessarily be aimed at re-establishing
the state of affairs created on the basis of the treaty, i.e. the “sole aim” of
such an action is restricted to the maintenance of independence, territorial
integrity and security of the Republic of Cyprus.507 But as subsequent
developments have demonstrated, the invasion by Turkish military forces
did not cause the return to the status quo. Moreover, on the basis of that
intervention Turkey occupied the territory of the island and consolidated its
exclusive control over 32% of that territory on behalf of the Turkish
Cypriots, thus leading to the de facto partition in violation of stipulations of
the Treaty of Guarantee.508
Türkischen Republik Nord-Zypern, Jus Publicum, Beiträge zum Öffentlichen Recht, Bd. 154, Tübingen, 2006, p. 52 506 S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, p. 82 507 See Articles I, IV of the Treaty of Guarantee signed at Nicosia, on 16 August 1960, UNTS, Vol. 382, No. 5475, p. 4, 6, available on the official website of the UN, at: http://untreaty.un.org/unts/1_60000/11/17/00020815.pdf [accessed: 16.10.2008] 508 S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, p. 82
147
Furthermore, in accordance with Art. IV of the Treaty of Guarantee, the UK
was obliged to conduct consultations with Turkey and Greece in respect of
measures necessary to ensure the observance of treaty provisions, if the
breach of those stipulations was the issue in question.509 At the same time,
the UK possessed the right to act individually in order to re-establish the
state of affairs provided for by the treaty. But Britain assumed the position
of a passive guarantor in 1974. As the Turkish delegation visited London in
seeking the cooperation with the UK under the Treaty of Guarantee after the
coup d’etat, the Turkish Premier, Bülent Ecevit, urged joint action and made
it clear that if Britain was unwilling to act, Turkey would intervene on her
own.510 As a result of these negotiations, the UK declined the Turkish offer,
arguably because Ecevit’s proposal entailed the use of the British bases for
the purpose of landing troops, and the UK preferred a solution which would
not jeopardize its interests on the island.511 As a consequence of this
situation, Turkey intervened militarily. Thus, after the de facto realization of
Enosis and Taksim following the coup d’etat in 1974, and the Turkish
military intervention of the same year, the third guarantor power failed to
meet its obligations enshrined in the Treaty of Guarantee.
In 1974 all guaranteeing powers met to elaborate the solution on the Cyprus
question. The objective was not the re-establishment of the state of things
provided for in the 1960 agreements, but the reorganization of Cyprus on a
bizonal basis and, accordingly, the three guarantors acted ultra vires.512 It
follows that all the developments mentioned above, i.e. the failure of the
parties to the agreement to meet their obligations or to restore the state of
affairs envisaged by the agreement, represent material breaches of the
Treaty of Guarantee. Bearing in mind this consideration, the following
conclusion has been made with regard to the proclamation of the TRNC and
the validity of the treaty in question:
509 See Article IV of the Treaty of Guarantee signed at Nicosia, on 16 August 1960, UNTS, Vol. 382, No. 5475, p. 6, available on the official website of the UN, at: http://untreaty.un.org/unts/1_60000/11/17/00020815.pdf [accessed: 16.10.2008] 510 See Z. M. Necatigil, The Cyprus Question and the Turkish Position in International Law, Oxford, 1989 (reprinted in 1990), p. 79 511 Ibid. 512 S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, pp. 82-83
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“It could be argued that after 1974, the provisions of the treaty became null
and void. The continued de facto partition of Cyprus up to the day of the
UDI, contrary to the terms of the treaty, was in itself an eloquent testimony
to the fact that the treaty had become a dead letter. Given the invalidity of
the Treaty of Guarantee, the UDI of November 1983, could not be a breach
of its terms or of any other international obligations.”513
Thus, reasons for the invalidity of the Treaty of Guarantee were its
continued material breaches. According to Art. 60 of the Vienna Convention
on the Law of Treaties:
“2. A material breach of a multilateral treaty by one of the parties entitles:
[…] (c) Any party other than the defaulting State to invoke the breach as a
ground for suspending the operation of the treaty in whole or in part with
respect to itself if the treaty is of such a character that a material breach of
its provisions by one party radically changes the position of every party with
respect to the further performance of its obligations under the treaty.
3. A material breach of a treaty, for the purposes of this article, consists in:
[…] (b) The violation of a provision essential to the accomplishment of the
object or purpose of the treaty.”514
Although the notion of suspension is used in the passage quoted above, it
has to be stressed that the same provision of the treaty also applies the word
“termination” in the context of the material breach of an agreement.515
Bearing in mind these considerations, it has to be examined, whether the
convention is applicable to the Treaty of Guarantee at all. It is true that the
latter was concluded in 1960 and the Vienna Convention was signed in 1969
and, according to Art. 4 of this document, it does not have a retroactive
effect: “Without prejudice to the application of any rules set forth in the
present Convention to which treaties would be subject under international
513 Ibid., p. 83 (italics in original) 514 Article 60 (2. (c), 3. (b)) of the Vienna Convention on the Law of Treaties (1969), UNTS, Vol. 1155, No. 18232, p. 346 515 See Article 60 (1., 2. (a)) of the Vienna Convention on the Law of Treaties (1969), in: Ibid.
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law independently of the Convention […]”516. This means that, despite the
fact of non-retroactivity of the agreement in question, it contains the rules of
customary international law and those rules can be employed irrespective of
the possibility of application of the Vienna Convention.
Thus, the provision concerning a material breach of a treaty is applicable to
the Treaty of Guarantee despite the fact that the latter was signed before the
conclusion of the Vienna Convention. This state of things is a consequence
of the existence of customary international law. But, according to Blay, in
the present case the application mentioned above is the result of another
manifestation, namely the notion of general principles of law which, in
accordance with the Statute of the ICJ, represents the source of public
international law.517
At the same time, it can be asserted that what happened in Cyprus,
especially in 1974, undermined the very essence of the republic. This
circumstance leads us to the conclusion that the provisions of the Treaty of
Guarantee and the whole arrangement of 1960 were violated and, as these
stipulations were “essential to the accomplishment of the object or purpose
of the treaty”, the violations in question must be regarded as material
breaches of those agreements. The violations had radically changed the
position of every single party with regard to the further performance of its
obligations under the document: the action was required by the Treaty of
Guarantee in the case of the violation of respective provisions, i.e. in order
to meet their obligations, the guaranteeing powers had to take measures
aimed at the re-establishment of the state of things provided for in the
agreement. This was exactly their “new standing” within the framework of
the treaty. Turkey acted, but the result of this action was the de facto
partition of the island.
516 See Article 4 of the Vienna Convention on the Law of Treaties (1969), in: Ibid., p. 334 517 “A generally accepted principle of law is that a party to any agreement may be discharged from any obligation thereof if one or more parties to the same agreement commits a material breach of its terms.”, S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, p. 82; See also Article 38, 1.(c) of the Statute of the International Court of Justice, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995, p. 448
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An interesting question is, whether Turkey was authorized to use its military
force in the form of an individual action and this question will be answered
below. It is important at this stage to stress that the Turkish Cypriot
community did not violate the provisions of the Treaty of Guarantee when it
declared the TRNC in 1983. The reason is that by 1983, as a consequence of
material breaches, there were no legal obligations of the Turkish Cypriots
left under the Treaty of Guarantee. The issue of Turkish invasion of the
island has to be examined at this point.
6.2.6 Turkish invasion of Cyprus and its impact on the “birth” of the
TRNC
In order to make a correct assessment of Turkish military intervention, it is
necessary to recall the circumstances surrounding the agreements of 1960
and respective developments thereafter. It is a fact that, despite some
restrictions imposed on the sovereignty of the Republic of Cyprus, the 1960
arrangement was a valid one, and Cyprus was admitted to membership of
the UN. It is also true that the arrangement in question was based on the
compromise between two constituent parts, the Greek and the Turkish
communities of the island, and the principles of that compromise were
undermined during the crises which took place in the republic itself. Despite
this fact, the argument has to be rejected, according to which, at the time of
the Turkish intervention the Republic of Cyprus did not exist any more.
Temporary ineffectiveness of a government does not amount to the fall or
elimination of a state.518
Krieger asserts that the interpretation of Art. IV of the Treaty of Guarantee
which permits military intervention, could represent the violation of Art. 2
(4) of the Charter of the UN:
“Seit dem Beitritt Zyperns in die Vereinten Nationen wird daher Art. IV des
Garantievertrages nach der Regel ut res magis valeat quam pereat derart
auszulegen sein, daß ein Recht zur militärischen Intervention nur dann
518 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 238
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zusteht, wenn es im Einklang mit Art. 2 Ziff. IV und 51 SVN ausgeübt
wird.”519
Bearing in mind this important assessment of the situation concerning the
competence to intervene militarily, it has to be concluded that Turkey acted
ultra vires for following reasons: according to the Treaty of Guarantee,
Turkey could intervene with the sole aim of the re-establishment of the state
of affairs provided for by that agreement, i.e. the purpose of every single act
of intervention was restricted to the maintenance of independence, territorial
integrity and security of the Republic of Cyprus. As a consequence of
Turkish military intervention, the island was partitioned. This result is
exactly what the drafters of the 1960 arrangement wished to avoid, the spirit
of that agreement is the following: no Enosis aimed at uniting Cyprus with
Greece and no Taksim aimed at the partition of the entity in question.
Turkey’s intervention brought about exactly the de facto realization of
Taksim. Furthermore, it has to be noted that Turkey occupied part of the
island:
“Turkish armed forces of more than 30,000 personnel are stationed
throughout the whole of the occupied area of northern Cyprus, which is
constantly patrolled and has checkpoints on all main lines of
communication.”520
It follows that the principle of proportionality was violated as a result of
continuous occupation.521 At the same time, it is also true that the UN did
not designate the Turkish invasion of the island as an act of aggression in
the international law sense522, but this circumstance does not affect the
519 Ibid., p. 239 (italics in original) 520 Case of Loizidou v. Turkey, Appl. no. 15318/89, Judgment (Merits and just satisfaction), ECHR, judgment of 18 December 1996, available on the official website of the ECHR, at: http://cmiskp.echr.coe.int/tkp197/search.asp?sessionid=6710424&skin=hudoc-en [accessed: 20.10.2008] 521 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 240 522 See Dissenting Opinion of Judge Pettiti, Case of Loizidou v. Turkey, Appl. no. 15318/89, Judgment (Merits and just satisfaction), ECHR, judgment of 18 December 1996, available on the official website of the ECHR, at: http://cmiskp.echr.coe.int/tkp197/search.asp?sessionid=6710424&skin=hudoc-en [accessed: 20.10.2008]
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relevance of the Turkish military intervention to the declaration of the
TRNC:
“Die TRNC verdankt ihre Existenz im wesentlichen einem rechtswidrigen
Akt, da sich 1974 der Türkische Bundesstaat Zypern von der Republik
Zypern durch eine militärische Intervention der Türkei de facto trennte.”523
It is also true that the Security Council of the UN based its resolution
concerning the invalidity of the UDI on the incompatibility of the
proclamation of the TRNC with the arrangement of 1960. It follows that the
principal organ of the world organization did not establish any direct link
between the illegality of the UDI and the Turkish invasion. The Security
Council made an indirect reference to the problem of intervention by
reaffirming its resolutions 365 (1974) and 367 (1975).524 Nevertheless, the
following statement entails a correct assessment of the situation concerning
the issue in question:
“Zwar läßt sich die Verletzung des Gewaltverbots ausdrücklich nur den
Debatten und nicht dem Text der Resolution entnehmen. Vor dem
Hintergrund der objektiven Rechtslage kann aber die Errichtung des
Herrschaftsverbandes unter Einsatz von Gewalt als ausschlaggebend für die
Rechtswidrigkeit betrachtet werden.”525
Bearing in mind the considerations mentioned above, it becomes evident
that the reason why the TRNC is regarded as an “illegal entity” is that it is
the product of the Turkish military intervention. This assertion is backed by
the fact that after the Greek-sponsored coup d’etat, the policy of Turkey was
aimed at re-locating the Turkish Cypriots in a clearly defined territory under
the protection of the Turkish army. This was considered as the only way to
guarantee the security of the community, and after invading the island and
securing virtually its entire northern section for the Turkish Cypriots, that
relocation took place: by 1975 large numbers of the Greek Cypriots had fled
their homes in the Turkish-held north and a considerable figure of the
523 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 237 (italics in original) 524 See Ibid., p. 240 525 Ibid., p. 241
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Turkish Cypriots returned from the Greek-held part of the island to the
northern section.526
Although voluntary regrouping of the population was agreed by respective
parties at the Vienna intercommunal talks held in 1975 under the auspices of
the Secretary-General of the UN527, this is another indication that the effect
of the Turkish invasion was the partition of the island. As after the
admission of the Republic of Cyprus to the UN the right of intervention,
provided for by Art. IV of the Treaty of Guarantee, was subject to
limitations by Art. 2 (4) and Art. 51 of the UN Charter, it follows that
Turkish military intervention constituted a breach of Art. 2 (4) of that
document. Turkish military intervention had the partition of the island as a
result. This represented an encroachment on the territorial integrity of the
Republic of Cyprus.
6.2.7 Ex factis jus oritur: traditional criteria for statehood and the
TRNC
It has to be stressed with regard to the traditional or empirical criteria for
statehood that the TRNC meets the requirements based on the principle of
effectiveness enshrined in the Montevideo Convention.528 According to
Blumenwitz, the TRNC governs de facto and de jure a specific territory
which is separated from the Republic of Cyprus by an internationally
recognized demarcation line operating as an actual border.529 Furthermore,
this author states that there is a sovereign authority with democratic
structures in the TRNC.530 At the same time, it has to be noted that by 1983,
when the UDI was made by the Turkish Cypriot authorities, the island was
526 See S. K. N. Blay, Self-Determination in Cyprus: The New Dimensions of an Old Conflict, in: The Australian Year Book of International Law, Vol. 10, 1981-1983, p. 78 527 See Z. M. Necatigil, The Cyprus Question and the Turkish Position in International Law, Oxford, 1989 (reprinted in 1990), p. 90 528 See S. Palmer, The Turkish Republic of Northern Cyprus: Should the United States Recognize It as an Independent State?, in: Boston University International Law Journal, Vol. 4, 1986, p. 447 529 D. Blumenwitz, Cyprus: Political and Legal Realities, in: Perceptions, Journal of International Affairs, Vol. IV, 1999, p. 70 530 Ibid.
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divided into two sectors and each of these territorial areas had its
homogeneous population.531
6.2.8 The TRNC and the issue of secession
It has to be noted that the attitude of the Turkish Cypriots towards the issue
of their separate existence bears interesting peculiarities. The argument has
been put forward that, as the Turkish Federated State of Cyprus was
proclaimed in 1975, the Turkish Cypriot community left the door open to a
federation with the southern part of the island, and there was no declaration
of independent statehood and respective ethnic group had not sought
international recognition as a sovereign state.532 Moreover, it has to be noted
that even the proclamation of the TRNC has left the door open to a federal
arrangement with the southern part of Cyprus. President Rauf Denktaş wrote
a letter to the UN Secretary-General on the same day as the UDI was made,
in which he assured the addressee that:
“[…] the expression of the legitimate and irrepressible will of the Turkish
Cypriot People concerning the exercise of the right to self-determination
will not in the slightest way hinder the establishment of a genuine federation
by two partners having equal political status;”533
Moreover, the following passage can be read in the UDI with regard to the
proclamation of the TRNC and the possibility of achieving the agreement in
respect of a federation with the Greek Cypriots:
“[…] such a proclamation can facilitate efforts in this direction by fulfilling
the necessary requisites for the establishment of a federation. The Turkish
Republic of northern Cyprus, determined to make every constructive effort
in this direction, will not unite with any other State.”534
531 Z. M. Necatigil, The Cyprus Question and the Turkish Position in International Law, Oxford, 1989 (reprinted in 1990), p. 286 532 N. M. Ertekün, The Cyprus Dispute and the Birth of the Turkish Republic of Northern Cyprus, Nicosia North, 1984, p. 35 533 Letter dated 15 November 1983 from President Rauf Denktaş to the UN Secretary-General, in: Ibid., Appendix A, p. 126 534 Declaration of establishment of the TRNC as an independent state (15 November 1983), para. 22 (b), in: Ibid., Appendix B, p. 135
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Thus, it is interesting that, on the one hand, there was the UDI and, at the
same time, the possibility of the establishment of a federation together with
the Greek Cypriots has not been excluded. Moreover, it can be asserted that
according to the passage quoted above, the commitment to such an
arrangement has been expressed by the authorities of the newly established
TRNC.
It has been argued that the UDI made by the Turkish Cypriot community
does not represent an act of secession. The reason is regarded to be the fact
that as the Republic of Cyprus, based on the bi-communal partnership, was
destroyed in 1963 by the Greek Cypriots, since then they have established
an exclusively Greek Cypriot state which does not represent both ethnic
groups living on the island. So, the Turkish Cypriots could not secede from
the state which had no legal ties with the Turkish Cypriot community.535 It
has to be stressed in this regard that, as the temporary ineffectiveness of the
government does not amount to the extinction of a respective state, the
Republic of Cyprus, as such, existed after 1963 and also after 1974, and it
exists by now.
It is important at this point to consider the argument based on Kelsen’s
theory of Grundnorm and implying that after the Greek-sponsored coup
d’etat of 1974, the established order was destroyed as a result of the
destruction of the Grundnorm (which, according to Kelsen, represents the
legal effect of the coup d’etat).536
According to Kunz, revolution denotes the discontinuity of a legal order.537
But this kind of “interruption” is problematic in the case of Cyprus. This
assertion is confirmed in the evidence given by Baroness Young to the
Foreign Affairs Committee in which the attitude of British authorities was
depicted: “The UK government’s position is that the 1960 Constitution
remains in force, though parts of it are currently inoperative.”538 Thus, the
535 Ibid., p. 122 536 See Z. M. Necatigil, The Cyprus Question and the Turkish Position in International Law, Oxford, 1989 (reprinted in 1990), pp. 78-79 537 J. L. Kunz, Revolutionary Creation of Norms of International Law, in: AJIL, Vol. 41, 1947, pp. 120-121 538 See R. White, Recognition of States and Diplomatic Relations, in: ICLQ, Vol. 37, 1988, p. 984
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Republic of Cyprus was not abolished by the “revolution” of 1974 and
bearing in mind the short life the coup d’etat had, it has to be concluded that
as the Turkish Cypriots issued the UDI, it was a secessionist act, the
secession from the ambit of the authority of the Republic of Cyprus, i.e. the
“mother state”, became the issue in question.
6.2.9 The TRNC as the “de facto state”
For the purposes of the present study the TRNC has to be designated as the
“de facto state”. This assertion is backed by the attitude of states, the UN
and other international organizations towards the Cyprus problem: this
stance, taken by the international community, denotes that the island
remains the territory of a single state, and the Greek Cypriot government is
recognized as the sole legitimate authority over the territory in question.539
In her evidence mentioned above, Baroness Young stressed the fact that the
UK government does not recognize the TRNC as a state and considers the
Greek Cypriot administration as the sole legitimate government of the island
of Cyprus in its entirety, but “low level” and “informal official” contacts are
maintained with representatives of the TRNC.540
According to Talmon, the northern part of Cyprus is regarded by states
either as the territory occupied by Turkey, or as the area being under the
control of the Turkish Cypriot local de facto government.541 At the same
time, “Northern Cyprus was not a fabrication of the Turkish government.
Ministers and government officials of the TRNC are not appointed by
Ankara.”542 Bearing in mind these considerations, it has to be concluded
that the TRNC represents the de facto state for the purposes of my thesis.
The TRNC has its own organized political leadership, which receives
popular support and provides governmental services to the population of the 539 C. Warbrick, Unrecognised States and Liability for Income Tax, in: ICLQ, Vol. 45, 1996, p. 955 540 See R. White, Recognition of States and Diplomatic Relations, in: ICLQ, Vol. 37, 1988, p. 984 541 S. Talmon, Luftverkehr mit nicht anerkannten Staaten: Der Fall Nordzypern, in: AVR, Bd. 43, 2005, p. 2 542 B. Bartmann, Political realities and legal anomalies: Revisiting the politics of international recognition, in: T. Bahcheli et al. (eds.), De Facto States, The quest for sovereignty, London / New York, 2004, p. 24
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northern part of the island of Cyprus over which effective control is
maintained for a significant period of time. The TRNC surely views itself as
capable of entering into relations with states, but the lack of substantive
recognition is its hallmark. Despite the immediate response by Turkey to the
proclamation of the TRNC which was expressed in full recognition of the
newly emerged political entity, no other country recognizes the TRNC as a
state: a) Pakistan voted against the Security Council resolutions 541 (1983)
and 550 (1984), but this state has not recognized the TRNC formally; b)
Bangladesh accorded the TRNC full recognition on 15 November 1983, but
under the pressure from the US it revoked the decision some days later; c)
Azerbaijan considered the possibility of diplomatic recognition in 2004,
making such recognition dependent upon the approval by the Turkish
Cypriot community of the “Annan Plan” and the rejection of the document
by the Greek Cypriots, but the recognition did not follow from Baku.543
The northern Cypriot authorities maintain, among other agencies, an
embassy in Ankara, a consulate general in Istanbul, consulates in Izmir and
Mersin, representative offices in Washington, New York, London, Brussels,
Baku, Abu Dhabi, Islamabad, and an economy and tourism office in
Bishkek.544 Thus, only Turkey accorded the TRNC full recognition and the
latter “meets” all the criteria which are required in order to consider an
entity as the one existing without substantive recognition, a feature which is
inherent in the definition of the de facto state. Major powers of the day and
existing juridical state, i.e. the “mother state” which is the Republic of
Cyprus, do not recognize the TRNC as a state, neither do the countries
situated in that area (except for Turkey). The TRNC does not enjoy the
recognition as a state from a majority of countries in the UN General
Assembly, and it cannot be asserted that the entity in question meets the
requirement concerning the participation in global and regional international
organizations.
543 See S. Talmon, Kollektive Nichtanerkennung illegaler Staaten, Grundlagen und Rechtsfolgen einer international koordinierten Sanktion, dargestellt am Beispiel der Türkischen Republik Nord-Zypern, Jus Publicum, Beiträge zum Öffentlichen Recht, Bd. 154, Tübingen, 2006, pp. 62-63 544 Information available on the website of the TRNC Public Information Office, at: http://www.trncpio.org/index.asp?page=209 [accessed: 03.11.2008]
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It follows that the TRNC lacks substantive recognition but it satisfies the
traditional criteria for statehood based on the notion of effectiveness. The
TRNC remains illegitimate in the eyes of the international community,
because it is the product of the illegal use of force.
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Chapter 7: The “Republic of Kosovo”
7.1 Political context
7.1.1 History: 1389 – 1986
Kosovo is the territory bearing overwhelming symbolic importance to the
Serb nation and, at the same time, it has certain historical significance for
the Albanians. For the Serb people, Kosovo is an inherent part of its
identity because there are important Serb Orthodox sanctuaries in the area
of Kosovo and symbols of Serb nationhood.545 At the same time, the Battle
of the Kosovo Field (Kosovo Polje) in 1389, in which the Serbs were
defeated by the Turks, is still “the most celebrated battle in Serb history”546.
With regard to the significance of the territory in question for the
Albanians, it can be stated that Kosovo is the place where the League of
Prizren was established in 1878 which is considered to be a major
contributing factor to the revival of Albanian national consciousness.547
The ethnic composition of Kosovo changed drastically after the migration
of the Serbian population in 1690 and 1739, as a consequence of
unsuccessful rebellions against the Turks in the aftermath of the wars
fought.548 But, despite the substantial increase of the Albanian population in
Kosovo, this territory did not become part of the Kingdom of Albania
established in 1913.549 Thus, after the Balkan Wars of 1912-13 Kosovo was
annexed to Serbia.550 It has to be noted that, during the Second World War,
Kosovo became part of the Albanian puppet state under Italian
occupation.551
By the end of the World War II, the communists under the leadership of
Josip Broz Tito assumed power in Kosovo and the latter was subjected to
545 O. Bennett-Jones, Albanians in Kosovo: Prospects for the Future, in: Refugee Survey Quarterly, Vol. 13, 1994, p. 10 546 Ibid. 547 F. Rauert, Das Kosovo: eine völkerrechtliche Studie, Ethnos; 55, Wien, 1999, p. 8 548 See Ibid., pp. 6-7 549 S. Troebst, Appendix 1 C. The Kosovo conflict, in: SIPRI Yearbook, Armaments, Disarmament and International Security, 1999, p. 49 550 See M. - J. Calic, Kosovo: Krieg oder Konfliktlösung?, in: Südosteuropa Mitteilungen, Jg. 38, 1998, p. 112 551 J. M. O. Sharp, Testfall Kosovo: die westliche Politik auf dem Prüfstand, in: Internationale Politik, Jg. 53, Bd. 1, 1998, p. 27
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the military administration of Yugoslavia, the federal state based on the
principle of nationalities and founded in accordance with concepts
elaborated at the second meeting of the “Anti-fascist Council for Liberation
of Yugoslavia” in Jajce, in 1943.552 As a result of these developments, at
the second conference of the National Liberation Committee in 1945 in
Prizren, Tito brought about the decision, according to which, Kosovo
became part of Serbia.553
It was the Constitution of the Socialist Federal Republic of Yugoslavia of
21 February 1974, which boosted Kosovo’s status and equipped the
territory with meaningful guarantees in respect of its standing within the
federal state. Kosovo was part of the Socialist Republic of Serbia:
“Article 1. The Socialist Federal Republic of Yugoslavia is a federal state
having the form of a state community of voluntarily united nations and their
Socialist Republics, and of the Socialist Autonomous Provinces of
Vojvodina and Kosovo, which are constituent parts of the Socialist
Republic of Serbia, […]”554
It has to be noted that under the constitution of 1974, Kosovo enjoyed a
substantial degree of autonomy. This assertion concerning prerogatives
enjoyed by Kosovo under the 1974 constitution has been confirmed by
Malešević: “From 1974 onwards Yugoslavia was a de facto confederal
state. Serbia’s two provinces, Vojvodina and Kosovo, were also given
semi-state status.”555
It has to be noted at this point that the Serbs were uneasy about the future of
the territory in question, as the privileges enjoyed by Kosovo and the latter
creature, as such, represented rather a headache for them. After some
sporadic manifestations of violence which occurred in Kosovo in 1981 as a
552 F. Rauert, Das Kosovo: eine völkerrechtliche Studie, Ethnos; 55, Wien, 1999, pp. 15-16 553 Ibid., p. 16 554 Article 1 of the Constitution of the Socialist Federal Republic of Yugoslavia of 21 February 1974, in: W. B. Simons (ed.), The Constitutions of the Communist World, Alphen aan den Rijn et al., 1980, pp. 444-445 555 S. Malešević, Ideology, Legitimacy and the New State: Yugoslavia, Serbia and Croatia, Cass Series: Nationalism and Ethnicity, No. 4, (W. Safran (ed.)), London / Portland, 2002, p. 172 (italics in original)
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result of a riot of ethnic Albanians556, it was the year 1986 which marked an
extreme turn in the context of relations between the Serbs and the Kosovo
Albanians. In that year, the Serbian Academy of Arts and Sciences issued a
memorandum which expressed following considerations:
“Als einziger Nation Jugoslawiens sei den Serben ein eigener Staat
verwehrt worden aufgrund der zwei autonomen Republiken Kosovo und
Vojvodina. Dazu müßten erhebliche Teile der Serben in anderen
Republiken (Kroatien und Bosnien) leben und seien in Gefahr, dort
assimiliert zu werden. Im Kosovo bestünde sogar die Gefahr des Genozids
an den Serben.”557
Thus, the Serb identity was regarded as a value being at stake, and this
document was just one step made towards the consolidation of public
opinion with regard to the “Serb question”. Another important development
in 1986 backed this whole process initiated in furtherance of the Serb cause
as Slobodan Milošević became President of the League of Communists of
Serbia.558
7.1.2 Kosovo in the context of the policy implemented by Slobodan
Milošević
From 1988 onward, an intensive campaign was launched by Milošević
aimed at the abolition of the autonomy enjoyed by Kosovo. The first
attempt made in 1988 at federal constitutional level was unsuccessful.559
The second step was taken within the framework of the Serb constitution
itself. In 1989 amendments were adopted, which reduced the competence of
the autonomous province of Kosovo in different fields of governmental
556 See O. Bennett-Jones, Albanians in Kosovo: Prospects for the Future, in: Refugee Survey Quarterly, Vol. 13, 1994, p. 12 557 H. - G. Justenhoven, Selbstbestimmungsrecht der Völker und Nichteinmischung in innere Angelegenheiten im Widerstreit, in: D. S. Lutz (Hrsg.), Der Kosovo-Krieg, Rechtliche und rechtsethische Aspekte, Demokratie, Sicherheit, Frieden (DSF), Bd. 127, 1. Aufl., Baden-Baden, 1999 / 2000, pp. 190-191 558 See J. Williams, Legitimacy in International Relations and the Rise and Fall of Yugoslavia, London / New York, 1998, p. 78 559 See F. Rauert, Das Kosovo: eine völkerrechtliche Studie, Ethnos; 55, Wien, 1999, pp. 37-38
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activity and expanded the jurisdiction of central authorities.560 As a
consequence, violence broke out within the borders of the province and the
situation achieved a high degree of intensity and brutality. Clashes between
Albanians protesting against the new legislation and the Serbian police and
military personnel acquired the features of a civil war.
In 1990, on the basis of another legislative act, the Serbian police blocked
the parliament of the province, and later the government and the parliament
of Kosovo were dissolved:
“Als Reaktion auf diese drastischen Maßnahmen der serbischen Führung
proklamierten kosovarischen Parlamentsabgeordneten am 2. Juli 1990 auf
den Stufen des Parlaments die Unabhängigkeit Kosovos.”561
After the formal abolition of legislative and executive organs of the
province through the Serb authorities on the basis of the enactment of 13
July 1990562, independence of Kosovo was once again declared by the
members of the abolished parliament on 7 September 1990.563 As a
response to that declaration, the Serbian parliament adopted a new
constitution for the republic in 1990, on the basis of which, the
Autonomous Province Vojvodina and the Autonomous Province of Kosovo
and Metohija were deprived of their rights connected with the autonomous
status.564 This action was not left without an answer from the side of the
Kosovo Albanians. A referendum was held in 1991 (not recognized by the
Serbian authorities) in which, the overwhelming majority of Albanians
voted for independence.565
In 1992 elections were held in the self-proclaimed “Republic of Kosovo” in
which the Kosovo Albanians voted for the Democratic League of Kosovo
(Lidhja Demokratike e Kosovës - LDK) as the party possessing majority in
the parliament and its leader, Ibrahim Rugova, became president of the
560 Ibid., pp. 38-39 561 Ibid., p. 41 562 Ibid. 563 O. Bennett-Jones, Albanians in Kosovo: Prospects for the Future, in: Refugee Survey Quarterly, Vol. 13, 1994, p. 12 564 See F. Rauert, Das Kosovo: eine völkerrechtliche Studie, Ethnos; 55, Wien, 1999, p. 42 565 J. Radoman, Future Kosovo Status-Precedent or Universal Solution, in: Western Balkans Security Observer-English Edition, Issue no. 3, 2006, p. 15
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newly emerged republic (Rugova was re-elected in 1998).566 From that time
onward, the Albanian authorities began to build parallel state institutions
and Kosovo was transformed into an entity which can be described by
reference to the term “Schattenstaat”.
It is important at this point to underscore the developments which took
place at the federal level. Since 1991, when Slovenia and Croatia
proclaimed their independence from Yugoslavia as a consequence of the
controversy regarding the constitutional transformation of the federal
state567, Bosnia and Herzegovina followed them in 1992 and, as a result of
the war fought on respective territories, the Serbs in Croatia declared their
own independent state of “Serbian Krajina”, whereas the Bosnian Serbs
proclaimed the “Republika Srpska”.568 At the same time, the Federal
Republic of Yugoslavia (FRY) was declared by Serbia and Montenegro in
1992.569
Further development which had an impact of overwhelming significance on
the issue of Kosovo was the 1995 “General Framework Agreement for
Peace in Bosnia and Herzegovina” (the so-called “Dayton Accords”), as in
this instrument, despite its ambitious aim of achieving a wholesale solution
to the problematic issues of post-Yugoslavian space, the question of
Kosovo was not addressed at all.570 The result of the Dayton Accords was
that the Bosnian Serbs were granted their autonomous Republika Srpska
(within the overall framework, the complex system of governance designed
for Bosnia and Herzegovina) as a consequence of the protracted armed
struggle.571 Moreover, according to the compromise based on the Dayton
Accords, the Serbs kept 49% of Bosnia and the Republika Srpska could
566 See M. - J. Calic, Kosovo: Krieg oder Konfliktlösung?, in: Südosteuropa Mitteilungen, Jg. 38, 1998, p. 114 567 S. Malešević, Ideology, Legitimacy and the New State: Yugoslavia, Serbia and Croatia, Cass Series: Nationalism and Ethnicity, No. 4, (W. Safran (ed.)), London / Portland, 2002, p. 224 568 Ibid., p. 174 569 Ibid. 570 M. - J. Calic, Kosovo: Krieg oder Konfliktlösung?, in: Südosteuropa Mitteilungen, Jg. 38, 1998, p. 115 571 See J. M. O. Sharp, Testfall Kosovo: die westliche Politik auf dem Prüfstand, in: Internationale Politik, Jg. 53, Bd. 1, 1998, p. 28
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maintain close political ties with Belgrade.572 As it was stated above with
regard to the issue of Kosovo, there was no solution found to the latter
problem at Dayton:
“Das Dayton-Abkommen hatte somit zwei negative Auswirkungen auf
Kosovo: es vermittelte den Eindruck, daß sich militärische Aggression für
die Verfolgung politischer Ziele auszahle, und höhlte so die gewaltlose
Kampagne Rugovas aus.”573
Thus, from 1997 onward, it was the Kosovo Liberation Army / KLA
(Ushtria Çlirimtare e Kosovës - UÇK) that gained momentum and became
the leading force in furtherance of the Kosovo Albanian cause.574 In March
1998 Milošević dispatched the Serbian armed forces to Kosovo and the
inter-ethnic warfare acquired its new dimensions.575
7.1.3 The international community’s response
The international community became increasingly concerned about the
situation in Kosovo, and on 31 March 1998 the Security Council of the UN,
acting under Chapter VII of the Charter of the UN, adopted the Resolution
1160 (1998). In this document, the Security Council confirmed the
importance of the FRY’s territorial integrity in the context of the solution to
the Kosovo problem, expressed its support for a greater degree of autonomy
for the entity in question, and furthermore, imposed the arms embargo on
respective parties.576 As with regard to the issues connected with the
political status of Kosovo, the resolution stressed the necessity of entering
into a dialogue without any preconditions.577
572 See M. Bowker, The Wars in Yugoslavia: Russia and the International Community, in: Europe-Asia Studies, Vol. 50, 1998, p. 1256 573 J. M. O. Sharp, Testfall Kosovo: die westliche Politik auf dem Prüfstand, in: Internationale Politik, Jg. 53, Bd. 1, 1998, p. 28 (italics in original) 574 See S. Troebst, Appendix 1 C. The Kosovo conflict, in: SIPRI Yearbook, Armaments, Disarmament and International Security, 1999, p. 50 575 See H. - G. Justenhoven, Selbstbestimmungsrecht der Völker und Nichteinmischung in innere Angelegenheiten im Widerstreit, in: D. S. Lutz (Hrsg.), Der Kosovo-Krieg, Rechtliche und rechtsethische Aspekte, Demokratie, Sicherheit, Frieden (DSF), Bd. 127, 1. Aufl., Baden-Baden, 1999 / 2000, p. 192 576 UNSC Res. 1160 (1998) of 31 March 1998, paras. 5, 8, in: Resolutions and Decisions of the Security Council (1998), SCOR 53, United Nations, New York, 2000, p. 11 577 UNSC Res. 1160 (1998) of 31 March 1998, para. 4, in: Ibid.
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The UN Security Council Resolution 1199 (1998), which was adopted on
23 September 1998, referred to the “excessive and indiscriminate use of
force by Serbian security forces and the Yugoslav Army”578. After
reaffirming the commitment to the sovereignty and territorial integrity of
the FRY, the Security Council stressed the following: “the deterioration of
the situation in Kosovo, Federal Republic of Yugoslavia, constitutes a
threat to peace and security in the region, […]”579. Another important
passage from the text refers to the case of the non-compliance with the
provisions of the Resolution 1160 (1998) and the Resolution 1199 (1998).
In this instance, the Security Council decided “to consider further action
and additional measures to maintain or restore peace and stability in the
region; […]”580.
Thus, the UN Security Council expressed its posture toward the issue of
Kosovo in the resolutions mentioned above, but these documents did not
authorize the use of force against the FRY, despite the warning issued by
the Security Council in the Resolution 1199 (1998). According to Hilpold,
the texts of these resolutions “were half-hearted and ambiguous, thus
permitting all the parties involved to safeguard their position”581. It has to
be noted at this point that as the Resolution 1199 (1998) was “unsuccessful”
in persuading respective authorities to comply with its provisions, on 9
October 1998 NATO Secretary-General Javier Solana declared that the
organization “saw sufficient factual and legal grounds to threaten the use of
force and, if necessary, to use force.”582
In the Resolution 1203 (1998) of 24 October 1998 the UN Security Council
welcomed the agreement signed in Belgrade between the FRY and the
OSCE, on the basis of which, this organization could establish a
verification mission in Kosovo and, at the same time, the FRY declared that
it would comply with previous resolutions.583 Furthermore, the commitment
578 UNSC Res. 1199 (1998) of 23 September 1998, preambular para., in: Ibid., p. 13 579 UNSC Res. 1199 (1998) of 23 September 1998, preambular para., in: Ibid., p. 14 580 UNSC Res. 1199 (1998) of 23 September 1998, para. 16, in: Ibid., p. 15 581 P. Hilpold, Humanitarian Intervention: Is There a Need for a Legal Reappraisal?, in: EJIL, Vol. 12, 2001, p. 440 582 Ibid. 583 UNSC Res. 1203 (1998) of 24 October 1998, in: Resolutions and Decisions of the Security Council (1998), SCOR 53, United Nations, New York, 2000, pp. 15-16
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to the sovereignty and territorial integrity of the FRY was confirmed in that
resolution. Acting under Chapter VII of the Charter of the UN, the Security
Council stressed once again that “the unresolved situation in Kosovo,
Federal Republic of Yugoslavia, constitutes a continuing threat to peace and
security in the region, […]”584.
Despite this positive development, further acts of violence occurred in
Kosovo, followed by NATO’s new threat of air strikes and the attempt to
find a solution to the problem through the negotiations held in Rambouillet,
France.585 The KLA accepted the “Interim Agreement for Peace and Self-
Government in Kosovo” (“Rambouillet Accords”) after some period of
hesitation, but respective authorities of the FRY did not. The reason behind
this refusal was, according to Patomäki, the Appendix B of the document
which referred to the “Status of Multi-National Military Implementation
Force”586. Indeed, as this author puts it, the FRY “could not accept foreign
military troops - and the NATO troops in particular - and their far-reaching
rights to operate freely and with immunity anywhere in Yugoslavia.”587 The
response to the FRY’s refusal was NATO’s forcible action.
7.1.4 NATO’s military intervention and its aftermath
On 24 March 1999 NATO began the “Operation Allied Force”, an air
campaign against the FRY which lasted for two and a half months.588 An
aspect of overwhelming importance was in this context the fact that NATO
acted without the authorization of the Security Council of the UN.589 The
reason is considered to be Russia’s indication, tacitly backed by China, to
use veto power with regard to any such resolution.590
584 Ibid., p. 16 585 See H. Patomäki, Kosovo and the end of the United Nations?, in: P. van Ham / S. Medvedev (eds.), Mapping European security after Kosovo, Manchester / New York, 2002, p. 94 586 Ibid. 587 Ibid., (italics in original) 588 See H. Charlesworth, International Law: A Discipline of Crisis, in: The Modern Law Review, Vol. 65, 2002, p. 378 589 See A. Pradetto, Die NATO, humanitäre Intervention und Völkerrecht, in: Aus Politik und Zeitgeschichte, Beilage zur Wochenzeitung Das Parlament, 49. Jg., 1999, p. 27 590 I. H. Daalder / M. E. O’Hanlon, Unlearning the Lessons of Kosovo, in: Foreign Policy, No. 116, 1999, p. 135
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The air campaign was brought to an end by a complex of instruments which
entailed different agreements. The first was the Proposal Presented by
Martti Ahtisaari and Victor Chernomyrdin to President Slobodan Milošević
on 2 June 1999, known as “Ahtisaari – Chernomyrdin – Milošević
Agreement” or the “Kosovo Accords”591. Further important document was
the “Military Technical Agreement” of 9 June between the International
Security Force (“KFOR”) and the FRY (“Kumanovo Agreement”).592
On 10 June 1999 the Security Council of the UN passed the Resolution
1244 (1999) in which, the principal organ of the world organization, acting
under Chapter VII of the Charter of the UN: a) welcomed the adoption of
general principles on the solution of the Kosovo problem and all those
positive developments in this respect; b) reaffirmed the commitment of
member states to the sovereignty and territorial integrity of the FRY; c)
confirmed the need for granting substantial autonomy to Kosovo; d)
determined that the situation in the region constituted a threat to
international peace and security.593 Further important provisions enshrined
in the document concern international administration of Kosovo. Thus, the
Security Council:
“5. Decides on the deployment in Kosovo, under United Nations auspices,
of international civil and security presences, with appropriate equipment
and personnel as required, and welcomes the agreement of the Federal
Republic of Yugoslavia to such presences; [...]
10. Authorizes the Secretary-General, with the assistance of relevant
international organizations, to establish an international civil presence in
Kosovo in order to provide an interim administration for Kosovo under
591 See E. Herring, From Rambouillet to the Kosovo Accords: NATO’s War against Serbia and Its Aftermath, (K. Booth (ed.), The Kosovo Tragedy, The Human Rights Dimensions), in: The International Journal of Human Rights, Vol. 4, 2000, p. 232 592 Military Technical Agreement between the International Security Force (“KFOR”) and the Governments of the Federal Republic of Yugoslavia and the Republic of Serbia (9 June 1999), available on the official website of the NATO, at: http://www.nato.int/kosovo/docu/a990609a.htm [accessed: 17.11.2008] 593 UNSC Res. 1244 (1999) of 10 June 1999, in: Resolutions and Decisions of the Security Council (1999), SCOR 54, United Nations, New York, 2001, p. 33
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which the people of Kosovo can enjoy substantial autonomy within the
Federal Republic of Yugoslavia [...]”594
As with regard to the issue of Kosovo’s status, the resolution stipulated that
among the main responsibilities of the international civil presence was
“Facilitating a political process designed to determine the future status of
Kosovo, taking into account the Rambouillet Accords; [...]”595.
Thus, as a consequence of the adoption of the documents mentioned above,
the United Nations Interim Administration Mission in Kosovo (UNMIK)
was established as an expression of international civil presence in the
region.
7.1.5 The UNMIK and the “internationalization” of Kosovo’s status
The Regulation No. 1999/1, which refers to the issues connected with the
authority of the interim administration, reads as follows:
“1.1 All legislative and executive authority with respect to Kosovo,
including the administration of the judiciary, is vested in UNMIK and is
exercised by the Special Representative of the Secretary-General.”596
The system of the UNMIK rests on four pillars: the Humanitarian
Assistance aspect was under the auspices of the UN High Commissioner for
Refugees (UNHCR), the UN itself had the responsibility to run the Civil
Administration, the Democratisation and Institution Building component
was led by the OSCE, the Reconstruction and Economic Development
pillar was within the competence of the EU.597 According to the provisions
of the Annex II of the Security Council Resolution 1244 (1999):
594 UNSC Res. 1244 (1999) of 10 June 1999, paras. 5, 10, in: Ibid., p. 34 (italics in original) 595 UNSC Res. 1244 (1999) of 10 June 1999, para. 11(e), in: Ibid., p. 35 596 Section 1 (1.1) of the Regulation No. 1999/1, UNMIK / REG / 1999/1 of 25 July 1999, On the Authority of the Interim Administration in Kosovo, available on the official website of the United Nations Interim Administration Mission in Kosovo, at: http://www.unmikonline.org/regulations/unmikgazette/02english/e1999regs/e1999regs.htm [accessed: 18.11. 2008] 597 See A. Yannis, Kosovo Under International Administration, in: Survival, The IISS Quarterly, Vol. 43, 2001, p. 32
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“4. The international security presence with substantial North Atlantic
Treaty Organization participation must be deployed under unified command
and control and authorized to establish a safe environment for all people in
Kosovo [...]”598
Thus, within the complex system of the administration, the security
component is guaranteed by the NATO-led multinational force KFOR
(Kosovo Force) acting under UN auspices. It has to be noted at this point
that the KFOR derives its legitimacy not only from the Security Council
Resolution 1244 (1999), but also from the Military Technical Agreement.599
Regarding these two documents, it can be stated that they are interrelated
because “Security Council Resolution 1244, 10 June 1999, effectively
ratified the Military-Technical Agreement.”600 Indeed, from the very
beginning the UNMIK and the KFOR were designed as partners in a
lengthy program of restoring Kosovo, and although the primary
responsibility of the KFOR is to guarantee a secure environment, it is
involved in various other fields of activities within the overall structure of
the UNMIK.601
The FRY’s sovereignty over Kosovo was further reduced on the basis of the
Constitutional Framework for Provisional Self-Government adopted on the
ground of the UNMIK/REG/2001/9 which declares the following:
“1.1 Kosovo is an entity under interim international administration […]
1.2 Kosovo is an undivided territory throughout which the Provisional
Institutions of Self-Government established by this Constitutional
598 UNSC Res. 1244 (1999) of 10 June 1999, Annex II, para. 4, in: Resolutions and Decisions of the Security Council (1999), SCOR 54, United Nations, New York, 2001, p. 36 599 See Article I (2) of the Military Technical Agreement between the International Security Force (“KFOR”) and the Governments of the Federal Republic of Yugoslavia and the Republic of Serbia (9 June 1999), available on the official website of the NATO, at: http://www.nato.int/kosovo/docu/a990609a.htm [accessed: 20.11.2008] 600 H. Charlesworth, International Law: A Discipline of Crisis, in: The Modern Law Review, Vol. 65, 2002, footnote 4, p. 378 601 See KFOR Objectives / Mission, available on the official website of the NATO, at: http://www.nato.int/kfor/docu/about/objectives.html [accessed: 20.11.2008]
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Framework for Provisional Self-Government (Constitutional Framework)
shall exercise their responsibilities.”602
Thus, Kosovo has been administered by the UN after the adoption of the
Security Council Resolution 1244 (1999). On 24 October 2005 the
President of the Security Council of the UN issued a statement concerning
the situation in Kosovo. This document refers to the report of the UN
Secretary-General’s Standards Review envoy, Ambassador Eide,
concerning the implementation of respective Standards in Kosovo (Serbia
and Montenegro)603 and stipulates the need for initiating further
development, i.e. the next phase of the political process in Kosovo.604
It is important at this stage to introduce the political developments which
took place in the “mother state” itself. As the notion of “Serbia and
Montenegro” was mentioned above, it is meaningful to clarify the status of
that entity. On 4 February 2003, the “Constitutional Charter of the State
Union of Serbia and Montenegro” was adopted by the National Assembly of
the Republic of Serbia and the Assembly of the Republic of Montenegro on
the basis of the “Proceeding Points for the Restructuring of Relations
between Serbia and Montenegro” of 14 March 2002.605 Thus, on the ground
of respective provisions of the Constitutional Charter, the FRY was
transformed into a state union of two equal members, the state of Serbia and
the state of Montenegro.606
602 Chapter 1 (1.1, 1.2) of the Constitutional Framework for Provisional Self-Government UNMIK/REG/2001/9 – 15 May 2001, available on the official website of the United Nations Interim Administration Mission in Kosovo, at: http://www.unmikonline.org/constframework.htm [accessed: 22.11.2008] 603 According to the Constitutional Framework for Provisional Self-Government, the Provisional Institutions of Self-Government are responsible for aligning their practices and legislative activity with European and international standards and norms. See Chapter 5 (5.7) of the Constitutional Framework for Provisional Self-Government UNMIK/REG/2001/9 – 15 May 2001, in: Ibid. 604 UNSC, Statement by the President of the Security Council, S/PRST/2005/51, of 24 October 2005, available on the official website of the UN, at: http://www.un.org/Docs/sc/unsc_pres_statements05.htm [accessed: 22.11.2008] 605 See Constitutional Charter of the State Union of Serbia and Montenegro, 4 February 2003, available online in UNHCR Refworld, at: http://www.unhcr.org/refworld/docid/43e7547d4.html [accessed: 25.11.2008] 606 See Articles 1and 2 of the Constitutional Charter of the State Union of Serbia and Montenegro, 4 February 2003, in: Ibid.
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According to Art. 60 of the document in question, passage of a minimum
period of three years was required before a member state could “initiate the
proceedings for the change in its state status or for breaking away from the
state union of Serbia and Montenegro.”607 Montenegro seized that
opportunity by holding a referendum in May 2006 and declaring
independence in June of the same year, and on 28 June 2006 it became a
member state of the UN.608 Thus, as a result of these developments, Serbia
became a “stand-alone sovereign republic”609.
Martti Ahtisaari, who was appointed as the Special Envoy of the UN
Secretary-General for the future status process for Kosovo on 14 November
2005610, submitted the “Comprehensive Proposal for the Kosovo Status
Settlement” (the so-called “Ahtisaari Plan”).611 This plan envisaged that
after a period of international supervision Kosovo would become
independent. It was rejected by Serbia, whereas the Kosovo Albanian ruling
elite approved the document.612
In an effort aimed at breaking this deadlock, the “Troika” composed of the
EU, the US and the Russian Federation conducted negotiations between
respective parties and discussed different options in the context of a possible
settlement on the problem in question. As a result, the negotiators arrived at
the following conclusion:
“Throughout the negotiations both parties were fully engaged. After 120
days of intensive negotiations, however, the parties were unable to reach an
607 Article 60 of the Constitutional Charter of the State Union of Serbia and Montenegro, 4 February 2003, in: Ibid. 608 Information available on the official website of the UN, at: http://www.un.org/News/Press/docs/2006/org1469.doc.htm [accessed: 25.11.2008] 609 See Country Profile: Serbia, available on the website of the BBC News, at: http://news.bbc.co.uk/2/hi/europe/country_profiles/5050584.stm [accessed: 25.11.2008] 610 Information available on the official website of the United Nations Office of the Special Envoy for Kosovo, at: http://www.unosek.org/unosek/en/speenvoy.html [accessed: 26.11.2008] 611 See Letter dated 26 March 2007 from the Secretary-General addressed to the President of the Security Council, Addendum: Comprehensive Proposal for the Kosovo Status Settlement, UNSC, S/2007/168/Add. 1, 26 March 2007, available on the official website of the United Nations Office of the Special Envoy for Kosovo, at: http://www.unosek.org/docref/Comprehensive_proposal-english.pdf [accessed: 26.11.2008] 612 C. J. Borgen, Kosovo’s Declaration of Independence: Self-Determination, Secession and Recognition, in: ASIL Insights, Vol. 12, Issue 2, 2008, available on the website of the ASIL, at: http://www.asil.org/search.cfm?displayPage=358 [accessed: 26.11.2008]
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agreement on Kosovo’s status. Neither side was willing to yield on the basic
question of sovereignty.”613
On 17 February 2008 Kosovo’s parliament issued the declaration of
independence from Serbia.614
7.2 International legal context
7.2.1 NATO’s military intervention – pros and cons
It has to be stressed with regard to NATO’s involvement that the
clarification of its legality or illegality does not represent the objective of
the present study. I will only demonstrate the arguments favouring the air
campaign of 1999 as an effective means against the humanitarian
catastrophe in Kosovo and, on the other hand, I will refer to the assertions
criticizing respective action of the alliance. It is important at this point to
stress that, by its very essence, and according to the goal it pursued, the air
campaign against the FRY has to be described as a “humanitarian
intervention”.
With respect to the definition of humanitarian intervention, it has to be
noted that this action implies the utilization of military force and other
coercive means to intervene in conflicts without the consent of a state,
which is either participating in grave human rights abuses, or is too weak to
prevent them.615 The European Parliament has defined the term
“humanitarian intervention” as follows:
“[…] Schutz der Menschengrundrechte von Personen, die Staatsangehörige
anderer Staaten und/oder dort ansässig sind, durch einen Staat oder eine
613 Report of the EU/U.S./Russia Troika on Kosovo, December 4, 2007, para. 11, available on the official website of the International Civilian Office Kosovo, at: http://www.ico-kos.org/?id=6 [accessed: 26.11.2008] 614 Kosovo MPs proclaim independence, information available on the website of the BBC News, at: http://news.bbc.co.uk/2/hi/europe/7249034.stm [accessed: 26.11.2008] 615 See I. Simonovic, Relative Sovereignty of the Twenty First Century, in: Hastings International and Comparative Law Review, Vol. 25, 2002, p. 373
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Gruppe von Staaten, wobei dieser Schutz die Drohung mit Gewalt oder die
Anwendung von Gewalt beinhaltet;”616
It is thus evident that the objective of humanitarian intervention must
necessarily be the protection of the fundamental human rights of a
respective group within the borders of a particular state in which that group
is subjected to flagrant violations of those rights. It is important at this stage
to present the arguments which are in favour of NATO’s military
intervention in 1999 and against it.
7.2.1 (i) Arguments in support of NATO’s “humanitarian
intervention”
The major problem connected with NATO’s operation is that it was
conducted without an explicit mandate of the Security Council of the UN.
So, I will begin with an assertion concerning this “lacuna” and its possible
justification.
According to Wilms, the decisions of the UN Security Council do not
correspond to the requirements of the procedure founded in the rule of law,
as one of the permanent members of this body can block important
decisions on the basis of veto power.617 The author asserts that effective
protection of human rights is possible only if the procedure within the
principal organ of the UN is not regarded as a sole guideline. It follows that
the mere fact that the Security Council did not authorize respective action
does not make the intervention in question automatically illegitimate.618
Furthermore, it has been asserted that the right of self-defence (Notwehr)
exists in the form of the general principle of law inherent in all legal
systems, and humanitarian intervention is a kind of assistance in an
emergency (Nothilfe): “Die humanitäre Intervention des nordatlantischen
616 Europäisches Parlament, Entschließung zum Recht auf Intervention aus humanitären Gründen, Sitzungsperiode 1994-1995, Tagung vom 18. bis 22. April 1994, in: Amtsblatt der Europäischen Gemeinschaften, Teil C, 1994, Nr. 100-132, Nr. C 128/( p.) 226 617 H. Wilms, Der Kosovo-Einsatz und das Völkerrecht, in: ZRP, Jg. 32, 1999, p. 228 618 Ibid.
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Verteidigungsbündnisses ist daher bereits auf der Ebene des positiv
geltenden Völkerrechts rechtmäßig.”619
According to Thürer, the interpretation of the UN Charter denoting the
acceptance of gross violations of fundamental human rights in the case of
the Security Council’s inactivity does not seem to be plausible nowadays.
Atrocities conducted on the territory of a state cannot be tolerated when a
respective friendly nation, enjoying the veto power, blocks the UN Security
Council.620 It follows that the right to humanitarian intervention has to be
recognized to a certain limited extent, though factual circumstances of every
single case have to be thoroughly assessed.621
Following criteria have been suggested for the justification of a
humanitarian intervention: a) the military intervention is only justified if the
fundamental values of the international community are at stake; b) the
intervention may not violate the principle of proportionality and it must be
appropriate to the protection of those fundamental values (in the case of
Kosovo it was questionable whether solely an air campaign, without the
utilization of ground forces, was suitable for the effective prevention of a
humanitarian catastrophe). The exhaustion of all diplomatic and political
means is also a necessary requirement as the military intervention should
represent ultima ratio in its very essence. The values which have to be
protected on the basis of the military action must outweigh those which can
be endangered by that action; c) respective measures must be authorized by
a legitimate organ, whereas prima facie collective action of states (then 19
members of NATO) does possess a higher degree of credibility than
unilateral decision to resort to force, and decisions of politically
representative organizations bear a higher degree of internal authority than
actions of specialized organizations (for example, a military alliance); d) the
measures taken without prior authorization of the UN must, as soon as
619 Ibid., p. 230 620 D. Thürer, Der Kosovo-Konflikt im Lichte des Völkerrechts: Von drei – echten und scheinbaren – Dilemmata, Grundsätze des Rechts der Gewaltanwendung und des humanitären Völkerrechts, in: AVR, Bd. 38, 2000, p. 7 621 Ibid.
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possible, be returned to the ordinary legal procedures within the system of
the world organization.622
Steinkamm asserts that the resolutions of the UN Security Council (1160
(1998), 1199 (1998) and 1203 (1998)) laid the foundation of the political
and legal solution to the conflict around the issue of Kosovo, but the FRY
ignored them and in doing so, it acted contrary to international law.623 It
follows that Russia and China, not acting in conformity with their Charter
obligations, blocked the UN Security Council and forced NATO to
intervene.624 The author proceeds by asserting that if the Security Council is
blocked, respective vacuum in the international legal system is filled by the
notion of humanitarian intervention, if gross violations of human rights are
committed.625
Following justifying factors have been introduced in respect of NATO’s
involvement in the Kosovo conflict: the air campaign was backed by the EU
and was not condemned by the UN. Furthermore, the operation gained
subsequent political legitimation on the basis of Milošević’s indictment by
the ICTY, and this fact represented a partial compensation for the lack of
the explicit mandate of the UN Security Council, in the sense of an internal
aspect within the organization, as well as vis-à-vis Russia and China, as they
supported the establishment of the tribunal.626
Ipsen stresses that ethnic cleansing through mass expulsion and mass killing
does not fall under the scope of state sovereignty, as a mantle protecting
respective states on the international plane.627 The author asserts that, as a
consequence of progressive recognition of minorities as partial subjects of
international law, the protection of such groups from the use of force by
“parent states” will be brought into line with the guarantees enjoyed in this
sphere by sovereign independence states, because the developments within
622 Ibid., p. 8 623 A. Steinkamm, Völkerrecht, Humanitäre Intervention und Legitimation des Bundeswehr-Einsatzes, Völker- und wehrrechtliche Aspekte des Kosovo-Konflikts 1999, in: Südosteuropa, Zeitschrift für Gegenwartsforschung, Jg. 49, 2000, p. 234 624 Ibid., p. 237 625 Ibid., p. 238 626 Ibid., p. 242 627 K. Ipsen, Der Kosovo-Einsatz –Illegal? Gerechtfertigt? Entschuldbar?, in: K. Ipsen et al. (Hrsg.), FW, Journal of International Peace and Organization, Bd. 74, 1999, p. 21
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the realm of public international law have demonstrated that flagrant
violations of fundamental human rights, having the form of mass expulsions
and mass killings, are considered as breaches of peace and international
security.628 It follows that, according to the growing tendency in
contemporary international law, the groups which were subjected to the use
of force from the side of “mother states” can claim the right to collective
self-defence enshrined in Art. 51 of the UN Charter. Respective substate
groups should be protected on the basis of the same sanctions which are
available in the cases of the use of force against independent states.629
According to Henkin, NATO’s intervention was a collective action because
it was a result of the decision taken by a responsible body including three of
five permanent members of the UN Security Council. Furthermore, NATO
did not pursue narrow interests of certain states or the organization itself, it
pursued recognized humanitarian purposes.630 It follows that the collective
character of the organization provided safeguards against abuse by
individual powers: NATO’s involvement could be monitored by the UN
Security Council, which could order to terminate it, military intervention
enjoyed the support of the principal organ of the world organization and this
was confirmed when twelve members of the Council rejected the Russian
draft resolution, thereby agreeing in effect that the intervention by the
alliance should continue. Moreover, “on June 10, the Security Council, in
Resolution 1244 approving the Kosovo settlement, effectively ratified the
NATO action and gave it the Council’s support.”631
Wedgwood refers to the cases of humanitarian interventions in different
regions of the globe (for example, Vietnam’s displacement of the Khmer
Rouge in Cambodia, India’s involvement in East Pakistan in support of the
Bengali people, Tanzania’s overthrow of Idi Amin in Uganda) and asserts
that, in contrast to the decisions taken unilaterally in furtherance of the right
of humanitarian intervention, NATO’s action was based on the legitimacy
of nineteen-nation decision process and respective normative commitments 628 Ibid., p. 22 629 Ibid. 630 L. Henkin, Kosovo and the Law of “Humanitarian Intervention”, in: AJIL, Vol. 93, 1999, p. 826 631 Ibid.
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of the democratic Europe.632 It has been emphasized that “NATO’s decision
deserves greater deference than purely unilateral action.”633
It has been stressed by another author that Art. 2 (4) of the UN Charter is
limited by means of Art. 2 (7) which removed from the domaine réservé of
a sovereign independent state the situation in which it violates, in a grave
fashion, human rights enjoyed by respective population.634 The exclusive
competence of the UN Security Council to authorize the use of force has
been regarded as a workable solution, if the responsibility of that body is
restricted to the situations in which a threat to the peace, the breach of the
latter, and an act of aggression are the issues in question. But this idea of the
exclusiveness of the Security Council ceases to be workable if it is applied
to the protection of human rights, the international control of means on the
basis of which governments rule their people internally.635 The following
conclusion has been made with regard to the notion of humanitarian
intervention:
“When human rights enforcement by military means is required, it should,
indeed, be the responsibility of the Security Council acting under the
Charter. But when the Council cannot act, the legal requirement continues to
be to save lives, however one can and as quickly as one can, […]”636
These are some of the considerations backing NATO’s humanitarian war
and it can be asserted that they are based on respective developments within
the realm of public international law, as well as solid moral grounds and
particular circumstances of the Kosovo case. But there are also important
arguments against the military involvement of 1999.
7.2.1 (ii) Criticism of NATO’s military intervention
The first and the most important argument against NATO’s forcible action
refers to the very foundation of the intervention and asserts that the notion
632 R. Wedgwood, NATO’s Campaign in Yugoslavia, in: Ibid., p. 833 633 Ibid. 634 W. Michael Reisman, Kosovo’s Antinomies, in: Ibid., p. 861 635 Ibid., pp. 861-862 636 Ibid., p. 862
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of moral cannot be applied by states in a binding manner, vis-à-vis their
citizens, in order to legitimize such decisions. The source of a binding
decision is only the law: “Der Krieg gegen Jugoslawien müßte nicht im
Namen der Moral geführt werden, wenn er im Namen des Rechts geführt
werden könnte.”637 It is important at this point to introduce other
considerations in respect of the air campaign in question.
According to Valki, the argument that the purpose of NATO’s intervention
was the enforcement of the Security Council resolutions 1160 (1998) and
1199 (1998) was unacceptable to Chinese and Russian delegates of the main
body of the UN: it is true that the FRY violated law when it did not comply
with the provisions of those resolutions, but this circumstance did not
represent the legal basis of military intervention and Solana’s argument that,
bearing in mind the possible veto the alliance had no other choice but to
launch the air campaign, may be justified militarily and politically, but not
legally. There is no “third” way in the case of rejection of a draft resolution
mandating the use of force by some of the UN Security Council
members.638 Moreover, it has been emphasized that during the debate
concerning the Resolution 1199 (1998), the Russian delegate stressed that
although the Security Council considered the implementation of further
measures, it took no decision on the use of force at that stage.639
With regard to reactions to the NATO campaign, it has been stated that it is
not true that the rejection of the draft resolution, condemning the NATO
members, amounted to subsequent approval of the intervention. The only
conclusion which can be drawn on the ground of such an action is that three
of the permanent members of the UN Security Council (the US, the UK and
France) and two non-permanent members (Canada and the Netherlands) did
not wish to declare themselves aggressors, whereas seven of the eight other
non-permanent members did not vote for subsequent approval of NATO’s
actions, but did not wish to condemn them either.640
637 R. Zuck, Der Krieg gegen Jugoslawien, in: ZRP, Jg. 32, 1999, p. 226 638 L. Valki, The Kosovo Crisis and International Law, in: Südosteuropa, Zeitschrift für Gegenwartsforschung, Jg. 49, 2000, p. 263 639 Ibid. 640 Ibid., pp. 264-265
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According to another author, NATO members justified the intervention
mainly by reference to political considerations rather than international legal
requirements. With respect to applying legal arguments they did not claim
an unlimited right to intervene by force and without prior authorization in
each and every single case of a humanitarian catastrophe.641 Some NATO
members argued before the ICJ in May 1999 that respective findings of the
UN Security Council, on the basis of which the FRY was considered
responsible for the excessive use of force, thereby causing the humanitarian
catastrophe, represented a decisive factor for the justification for the
involvement of the alliance.642
The NATO member states argued that they supported the realization of
objectives of the international community, and they also applied such
considerations which previously established the sole competence of the UN
Security Council (for example, threat to the peace and refugee flows), but
they rejected to assert legal considerations in this respect.643 Members of the
alliance have not claimed that the military operation was based on the
resolution of the UN Security Council. They have argued that the principal
organ of the world organization had determined, by binding means, the
existence of a situation which required effective measures in order to protect
the most important values of the international community.644
According to Rytter, an authorization to humanitarian intervention exists
only if the UN Security Council has explicitly mandated such involvement.
Determination of the existence of a situation falling under the scope of the
Chapter VII and denoting the threat to international peace and security is not
sufficient, neither is any term short of “authorizes”, but in terms of
legitimacy it makes a huge difference whether or not a certain degree of
legal authority can be deduced from prior resolutions of the principal organ
of the UN.645 Moreover, authorization by the Security Council must be
641 See G. Nolte, Kosovo und Konstitutionalisierung: Zur humanitären Intervention der NATO-Staaten, in: ZaöRV, Bd. 59, 1999, p. 943 642 Ibid. 643 Ibid., pp. 943-944 644 Ibid., p. 944 645 J. E. Rytter, Humanitarian Intervention without the Security Council: From San Francisco to Kosovo – and Beyond, in: Nordic Journal of International Law, Acta scandinavica juris gentium, Vol. 70, 2001, p. 123
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obtained prior to respective action and subsequent endorsement or de facto
acceptance by that body does not have a retroactive effect legalizing
otherwise unlawful intervention. However the legitimacy of such an action
is strengthened if the Security Council “condones” the involvement later.646
With regard to the rules of customary international law, it has been
concluded that there is no right of humanitarian intervention within the
realm of this source of international law without the authorization of the
Security Council, neither is there any clear evidence that such a right is
emerging (in statu nascidendi) from state practice until 1999.647 It has been
emphasized that the general attitude towards intervention within the alliance
itself was that Kosovo should be treated as an exceptional case of a
humanitarian war, which was “legitimized” but not “legalized” by the
humanitarian catastrophe that took place on respective territory.648
Furthermore, it has been stressed that unauthorized humanitarian
intervention may be morally legitimate in certain cases but even this state of
affairs cannot render the use of force lawful, because such an intervention is
incompatible with the norm concerning the prohibition of the use of force as
enshrined in Art. 2 (4) of the UN Charter and recognized under customary
international law.649
Chinkin argues that by indicating its support for European institutional
responses, the UN Security Council perhaps implied an approval of military
action as this body was itself paralyzed, and failure to agree on the text of
the resolution, which would condemn NATO’s intervention, backed this
assertion.650 But respective affirmations of efforts aimed at peaceful
settlement and verification cannot conceal the fact that the monopoly
enjoyed by the Security Council on the issue of the use of force was
disregarded. The Secretary-General of the UN sought cooperation between
regional organizations and the UN in the form of consultations and other
646 Ibid. 647 Ibid., p. 144 648 Ibid., p. 155 649 Ibid., p. 158 650 C. M. Chinkin, Kosovo: A “Good” or “Bad” War?, in: AJIL, Vol. 93, 1999, p. 843
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diplomatic efforts, not the abandonment of the established international
order through ignoring the principal organ of the world organization.651
It follows that as the air campaign of 1999 was outside the framework of the
UN Charter and NATO’s own constitutive treaty, the requirements based on
customary international law, especially those of necessity and
proportionality, become the issues of overwhelming importance.652 The
following conclusion has been made with regard to NATO’s military
intervention:
“The NATO bombing was disproportionate for being both excessive in its
impact on the human rights of one civilian population and inadequate by
dint of the absence of ground forces to protect the other population.”653
The most important assessment of the involvement of the alliance refers to
public international law, as such, and reads as follows: “the Kosovo
intervention shows that the West continues to script international law, even
while it ignores the constitutional safeguards of the international legal
order.”654
Hilpold stresses the fact that the collective character of NATO’s
intervention, based on the participation of several member states, some of
which are, at the same time, members of the UN Security Council, has to be
rejected, because the issue of distinction between collective and unilateral
measures refers to the question, whether respective initiative has been
mandated by the Security Council or not.655 It follows that such an
authorization was not granted by the principal organ of the world
organization in the Kosovo case and the intervention has to be qualified as a
unilateral measure.656
As with regard to the notion of assistance in an emergency (Nothilfe), it has
been emphasized that the argument, which implies analogous application of
651 Ibid. 652 Ibid., p. 844 653 Ibid., p. 845 654 Ibid., p. 846 655 P. Hilpold, Humanitarian Intervention: Is There a Need for a Legal Reappraisal?, in: EJIL, Vol. 12, 2001, p. 448 656 Ibid.
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the right of self-defense, enshrined in Art. 51 of the Charter, to a people as a
victim of the oppression by its own government, is untenable because the
article in question has to be interpreted restrictively and it is not suited for
analogous application.657 The assertion, denoting the restoration of the
freedom of each member state to take unilateral measures in the case of the
inability of the Security Council to act, has been criticized for following
reasons: the limited functioning of the Security Council was already
expected at the time of drafting the UN Charter and it would have been
utopian to think otherwise. Nevertheless, the UN Charter was accepted in its
present form and the prohibition of the use of force was considered the norm
of paramount importance in that system.658
With regard to the developments concerning the protection of human rights
and their impact on the system established by the UN Charter, it has been
stated that it is doubtful whether those developments had an influence on the
significance and interpretation of Art. 2 (4) of the document (because of the
lack of specific treaty law, customary international law or subsequent
practice in this regard). Even the evolution of international criminal justice
is of no specific relevance to this issue, as the statutes of respective tribunals
do not refer to this matter and persecution of war criminals does not call into
question the prohibition of the use of force.659
Further argument concerns the issue of collision between the principle of
protection of state sovereignty and the maintenance of human rights and the
assertion that the UN Charter system can never be used as a justification for
flagrant violations of human rights. It has been stressed that the UN Charter
prohibits the threat or use of force and in doing so, Art. 2 (4) of the
document is aimed at protecting, at least indirectly, the same subjects as the
human rights instruments.660
The argument that Kosovo intervention sets a precedent for the development
of “new” international law has been regarded as unconvincing. In the
Nicaragua Case the ICJ found that to challenge a rule of international law, 657 Ibid., pp. 449-450 658 Ibid., pp. 450-451 659 Ibid., pp. 451-452 660 Ibid., p. 452
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the state practice, relied upon, must be based on an alternative rule of law.
This requirement was not met in the present instance because NATO had
not justified its involvement on the ground of a specific legal rule,
throughout the campaign the alliance offered no legal justification for its
action.661
It has been emphasized that legal justifications have been articulated by
respondents in the suits against the NATO members before the ICJ, but only
Belgium mentioned humanitarian intervention, merely as a possible legal
justification.662 Furthermore, the rule prohibiting the use of force is derived
from the UN Charter and the Charter law may very well not be subject to
alteration by new general international law: the Charter overrides all
inconsistent treaties and one would expect the same rule to apply to
developments in general international law. Bearing in mind the fact that
treaties supersede all but jus cogens norms and the Charter restrictions on
the use of force are themselves jus cogens legal rules, the norm of that
quality is needed which would override them.663
The argument that the doctrine of humanitarian intervention is merely a new
and improved interpretation of the provisions concerning the protection of
human rights already enshrined in the Charter, has been rejected by Charney
because of the absence of an agreement among the members of the UN
which would denote such an interpretation of respective stipulations of the
treaty in question.664
Indeed, it has been stated with regard to the alteration of existing legal rules
that one act, not in conformity with the established rules, does not eliminate
the legal regime, as such, unless there is overwhelming support for the
change, and in the case of Kosovo it was significant that even the
governments participating in the bombing of the FRY have argued that this
661 J. I. Charney, Anticipatory Humanitarian Intervention in Kosovo, in: AJIL, Vol. 93, 1999, p. 836 662 Ibid., pp. 836-837 663 Ibid., p. 837 664 Ibid.
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one event should not change the rules.665 It has thus been concluded that
moral and political consensus denoting the importance of intervention as a
means of preventing gross human rights violations “has not been formalised
into a set of rules of international law.”666
Bearing in mind this circumstance, it has to be noted that a conclusion has
been drawn by Tomuschat that the involvement of NATO in the Kosovo
case led the alliance into a situation in which it is difficult to distinguish
between legality and illegality.667 The skepticism concerning NATO’s
military intervention is expressed in this statement:
“Die NATO-Aktionen in Jugoslawien stellen den Versuch dar, unter
Berufung auf die Legitimität einer universalen Moral die Legalität der
bestehenden völkerrechtlichen Ordnung zu relativieren; sie wird dadurch
zumindest vorübergehend außer Kraft gesetzt.”668
But the problem seems to be the following: “Die Geltung der Legalität ist
die Moral der internationalen Beziehungen. Der gerechte Krieg ist der legale
Krieg.”669
According to Axt, NATO’s intervention represents a setback for the
principle of the settlement of respective conflicts on a non-forcible basis,
and in accordance with legal requirements, within the framework of
international organizations (institutionalism). It implies the return to the
principles of realism, applied not in furtherance of particular interests but
for the protection of fundamental values and human rights.670 What can be
stressed with certainty is that every single case of humanitarian intervention
must be subjected to stringent criteria. Indeed, according to Zacklin, the
665 M. E. O’Connell, The UN, NATO, and International Law After Kosovo, in: Human Rights Quarterly, A Comparative and International Journal of the Social Sciences, Humanities, and Law, Vol. 22, 2000, pp. 82-83 666 C. Guicherd, International Law and the War in Kosovo, in: Survival, The IISS Quarterly, Vol. 41, 1999, p. 29 667 C. Tomuschat, Völkerrechtliche Aspekte des Kosovo-Konflikts, in: K. Ipsen et al. (Hrsg.), FW, Journal of International Peace and Organization, Bd. 74, 1999, p. 37 668 U. K. Preuß, Zwischen Legalität und Gerechtigkeit, Der Kosovo-Krieg, das Völkerrecht und die Moral, in: Blätter für deutsche und internationale Politik, Jg. 44, 1999, p. 828 669 Ibid. 670 H. - J. Axt, Internationale Implikationen des Kosovo-Krieges: werteorientierte Realpolitik statt Konfliktbearbeitung in Institutionen, in: Südosteuropa, Zeitschrift für Gegenwartsforschung, Jg. 49, 2000, p. 68
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adoption of certain requirements would become the basis on the ground of
which it would be possible to overcome the attitude of the international
community, as presently maintained towards the notion of humanitarian
intervention, that it is “an instrument of dubious legality, inequitable in
implementation, and represents a weakening of the foundations of organized
international society.”671
These considerations indicate that NATO’s military intervention was, at
least, an “uneasy” one and it had its own impact on further developments
concerning the issue of Kosovo’s status. It is important at this point to
address the latter question.
7.2.2 Kosovo’s “constitutional status” and its implications
Kosovo represents a formidable challenge to the issue of statehood. This
territorial entity, formerly being the Socialist Autonomous Province of
Kosovo within the Socialist Republic of Serbia, exists now in the form of
the “Republic of Kosovo”.672 It has to be stressed at this point that the
constitution of the SFRY embodied two legal notions as constituent parts of
the territorial entities existing within the borders of the federation, namely
nations (narodi) and nationalities (narodnosti).673 The introductory part of
the document in question, referring to the nations of the federal state, reads
as follows: “The nations of Yugoslavia, proceeding from the right of every
nation to self-determination, including the right to secession, […]”674. It can
be deduced from Art. 1 of the constitution that nations had their Socialist
Republics.675 According to Art. 2 of the document, the status of the Socialist
671 R. Zacklin, Beyond Kosovo: The United Nations and Humanitarian Intervention, in: Virginia Journal of International Law, Vol. 41, 2001, p. 938 672 Information available on the official governmental web portal of the Republic of Kosovo, at: http://www.ks-gov.net/portal/eng.htm [accessed: 11.12.2008] 673 See Article 1 of the Constitution of the Socialist Federal Republic of Yugoslavia of 21 February 1974, in: W. B. Simons (ed.), The Constitutions of the Communist World, Alphen aan den Rijn et al., 1980, pp. 444-445 674 Constitution of the Socialist Federal Republic of Yugoslavia of 21 February 1974, Introductory Part, Basic Principles, in: Ibid., p. 428 675 Article 1 of the Constitution of the Socialist Federal Republic of Yugoslavia of 21 February 1974, in: Ibid., pp. 444-445
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Republic was granted to: Bosnia-Herzegovina, Croatia, Macedonia,
Montenegro, Serbia and Slovenia.676
It can be asserted that the federal constitution guaranteed nations the right to
secede, but it was not the case with regard to nationalities. As the Socialist
Autonomous Province of Kosovo was a constituent part of the Socialist
Republic of Serbia and nations, as such, had their own republics, it can be
argued that Kosovo Albanians represented a nationality, not a nation, and
they enjoyed no constitutional right to secession. This assertion was
confirmed by the Arbitration Commission on the former Yugoslavia, also
called the “Badinter Commission” after its French chairman. In its Opinion
No. 3 the Arbitration Commission had to deal with the question, whether
internal boundaries between Croatia and Serbia and between Bosnia-
Herzegovina and Serbia could be regarded as frontiers within the realm of
public international law.677 The Commission concluded the following:
“Except where otherwise agreed, the former boundaries become frontiers
protected by international law. This conclusion follows from the principle of
respect for the territorial status quo and, in particular, from the principle of
uti possidetis.”678
Thus, borders between the SFRY republics became international frontiers.
Furthermore, the Commission rejected the request of the Kosovo Albanian
political elite for the recognition of Kosovo basing its response upon the
status of Kosovo as an autonomous province within Serbia.679 According to
Cvijic, the argument that the Commission should have recognized Kosovo’s
administrative borders with Serbia as international boundaries is unsound
for following reasons: the difference between republics and autonomous
provinces, as enshrined in the constitution of the SFRY, had legal and
political significance and, at the same time, no member of the NATO ever
676 Article 2 of the Constitution of the Socialist Federal Republic of Yugoslavia of 21 February 1974, in: Ibid., p. 445 677 Conference on Yugoslavia Arbitration Commission: Opinions on Questions arising from the Dissolution of Yugoslavia [January 11 and July 4, 1992], Opinion No. 3, in: 31 ILM 1488 (1992), p. 1499 678 Ibid., para. 2, p. 1500 (italics in original) 679 See S. Cvijic, Self-determination as a Challenge to the Legitimacy of Humanitarian Interventions: The Case of Kosovo, in: German Law Journal, Vol. 8, 2007, p. 72
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seriously invoked this argument in order to justify the intervention or the
independence of Kosovo.680
As it is evident from the statement quoted above, the Arbitration
Commission invoked the principle of uti possidetis. In applying the
principle of uti possidetis to the case in question, the Commission approved
the possibility of secession of constituent republics of the federal state, as
boundaries between them became international frontiers. The same cannot
be said in respect of the autonomous province of Kosovo.
Thus, it can be asserted that Kosovo has taken a long road but this road was
also a rough one. The impact of the Kosovo case on public international law
is threefold: 1) The use of force by the NATO in 1999 without express
authorization of the UN Security Council; 2) The UN territorial
administration which followed the military intervention mentioned above;
3) The case of Kosovo calls into question the balance between the principles
of territorial integrity and self-determination.681 At the same time, the
Kosovo problem constitutes a complex issue in the context of the notion of
sovereignty and the latter question has to be addressed at this point.
7.2.3 Kosovo in the context of an “earned sovereignty approach”
The “Republic of Kosovo” can be regarded as an example of the
manifestation known as “earned sovereignty”. Earned sovereignty is a mode
of regulating the sovereignty-based conflicts. According to the definition of
this notion, it: “[…] entails the conditional and progressive devolution of
sovereign powers and authority from a state to a substate entity under
international supervision.”682 Earned sovereignty encompasses following
elements:
680 Ibid. 681 See M. Goodwin, From Province to Protectorate to State? Speculation on the Impact of Kosovo’s Genesis upon the Doctrines of International Law, in: German Law Journal, Vol. 8, 2007, p. 2 682 P. R. Williams / F. Jannotti Pecci, Earned Sovereignty: Bridging the Gap Between Sovereignty and Self-Determination, in: Stanford Journal of International Law, Vol. 40, 2004, p. 350
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Shared sovereignty – at the initial stage respective state and substate entity
exercise sovereign authority over the territory in question. It is also possible
that international institutions exercise sovereign functions in addition to the
“mother state”, or replace the latter in respect of enjoying sovereign
rights.683
Institution building – new institutions for self-government are constructed,
or those already existent are modified, in the substate entity during the
period of shared sovereignty and prior to the determination of the final
status. The substate entity cooperates with the international community in
order to develop its own institutional capacity for exercising sovereign
authority over a respective territory.684
Determination of the final status of the substate entity – this stage is aimed
at regulating the relationship between the “parent state” and the substate
entity. The means of such a determination is generally a referendum but a
negotiated settlement between the entities in question is also possible:
“Invariably, the determination of final status for the substate entity is
conditioned on the consent of the international community in the form of
international recognition.”685
In addition to the manifestations mentioned above, there are also following
optional elements within the concept of earned sovereignty:
Phased sovereignty – this requirement denotes the accumulation by a
respective substate entity of sovereign authority over a specified period of
time prior to the determination of the final status. The accumulation of the
sovereign authority, as a core of the present element, is connected with the
ability of the substate entity to assume those sovereign powers, or it may
depend on the demonstration of responsible state behavior by the entity in
question. The combination of these two factors is also possible.686
Conditional sovereignty – this criterion can be applied to the accumulation
of sovereign authority by the substate entity, or it can be employed as a set
683 Ibid., p. 355 684 Ibid. 685 Ibid., pp. 355-356 686 Ibid., p. 356
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of standards to be achieved prior to the determination of the final status of
that entity (these standards include the protection of human and minority
rights, the development of democratic institutions etc). This element
represents a guideline for international institutions which, in the status of a
monitoring authority, after the evaluation of the situation in the entity in
question and the degree of compliance by the latter with those requirements
elaborated in the form of standards, determines, whether to proceed with the
devolution of authority to the substate entity or not.687
Constrained sovereignty – this element is an expression of limitations on the
sovereign authority of the new state and it can also be described as a
guarantee for the “mother state” and the international community. The
newly emerged entity may be placed under international administrative or
military presence, or the restrictions may be imposed on its sovereign
authority with regard to the right of achieving territorial association with
other states.688
This is exactly the process applied to the case of Kosovo and the notion of
earned sovereignty represents a legal framework of the solution of a
respective problem. Interim UN administration of Kosovo was established
on the basis of the UN Security Council Resolution 1244 (1999) and during
this interim period, the UN was authorized to exercise extensive executive
and legislative authority and, at the same time, it was necessary to form
institutions that would later be responsible for the autonomous governance
of Kosovo. The devolution of sovereign authority to the government of
Kosovo was also an inherent part of this framework, and it was contingent
on the capability of the institutions mentioned above to cope with the task of
exercising sovereign functions over the territory in question.
The complete devolution of authority and the determination of the final
status of Kosovo were made dependent on the compliance with respective
standards. Thus, it follows that all the features of the earned sovereignty are
present in the case of Kosovo. But if we assume that Kosovo has earned the
sovereignty, we must necessarily conclude that Belgrade has lost that
687 Ibid. 688 Ibid.
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sovereignty over the territory in question. Does the latter assertion hold? It
is important at this point to examine this issue.
7.2.4 The UN Security Council Resolution 1244 (1999) and its impact on
Kosovo’s status
The UN Security Council Resolution 1244 (1999), which represents the
legal basis of Kosovo’s international administration, reaffirmed the
commitment of member states to the sovereignty and territorial integrity of
the FRY but, at the same time, this document entails the reference to the
Rambouillet Accords in the context of facilitating the political process of
determination of Kosovo’s final status. To say precisely, the document in
question emphasizes the necessity to “take into account” the Rambouillet
Accords while determining the status mentioned above.689 According to
Batt, this reference in the resolution to the Rambouillet Accords means that
independence of Kosovo was not ruled out.690
It is important at this stage to clarify the content of the Rambouillet Accords
in respect of the status of Kosovo. First of all, it has to be stressed that the
document entailed the shared sovereignty among the FRY, Kosovo and the
international community.691 According to the agreement, the FRY retained
the competence over such areas as territorial integrity, common market,
monetary policy, defence, foreign policy, customs services, federal taxation,
federal elections and other fields specified in the agreement.692 Paragraph 6
of Art. I of the document stipulates that there shall be no alterations of the
borders of Kosovo and it also determines Kosovo’s authority to conduct
foreign relations within its areas of responsibility, equivalent to the power
689 See UNSC Res. 1244 (1999) of 10 June 1999, para. 11(e), in: Resolutions and Decisions of the Security Council (1999), SCOR 54, United Nations, New York, 2001, p. 35 690 J. Batt, Kosovo and the Question of Serbia, in: Slovak Foreign Policy Affairs, Review for international politics, security and integration, Vol. VI, 2005, p. 11 691 See P. R. Williams / F. Jannotti Pecci, Earned Sovereignty: Bridging the Gap Between Sovereignty and Self-Determination, in: Stanford Journal of International Law, Vol. 40, 2004, p. 375 692 Letter dated 4 June 1999 from the Permanent Representative of France to the United Nations addressed to the Secretary-General, Annex: Rambouillet Accords, Interim Agreement for Peace and Self-Government in Kosovo of 23 February 1999, UNSC, S/1999/648 (7 June 1999), ch. 1, Article I (3), p. 10, available on the official website of the UN, at: http://un.org/peace/kosovo/99648_1.pdf [accessed: 14.12.2008]
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enjoyed by republics under respective provisions of the constitution of the
FRY.693 At the same time, the agreement foresaw the accumulation of
certain sovereign functions by Kosovo and the establishment of institutions
needed for the effective administration of those functions with the support
of the international community.694
The most important provision of the Rambouillet Accords concerns the
determination of Kosovo’s final status and provides for an international
meeting, three years after the entry into force of the document, to determine
a mechanism for a final settlement for Kosovo “on the basis of the will of
the people, opinions of relevant authorities, each Party’s efforts regarding
the implementation of this Agreement, and the Helsinki Final Act, […]”695.
Thus, it is evident that the Rambouillet Accords represented the application
of the notion of earned sovereignty to the Kosovo case: the elements of
shared sovereignty and institution building were inherent in the document
and the criterion of phased sovereignty was also present. The determination
of the final status of the entity in question on the basis of a referendum was
dependent on the fulfilment of obligations regarding the protection of
human and minority rights and the establishment of democratic
institutions.696 It follows that the notion of conditional sovereignty was also
a component of the agreement.
Thus, bearing in mind the considerations mentioned above, and the fact that
the Rambouillet Accords represented an expression of the “procedure” of
earned sovereignty, it has to be concluded that, according to this agreement,
the independence of Kosovo, as a possible solution to the problem, was not
excluded. But it is also true that Milošević refused to sign that document. 693 See ch. 1, Article I (6) (a, c) of the Rambouillet Accords, Interim Agreement for Peace and Self-Government in Kosovo of 23 February 1999, UNSC, S/1999/648 (7 June 1999), in: Ibid. 694 P. R. Williams / F. Jannotti Pecci, Earned Sovereignty: Bridging the Gap Between Sovereignty and Self-Determination, in: Stanford Journal of International Law, Vol. 40, 2004, p. 375 695 See ch. 8, Article I (3) of the Rambouillet Accords, Interim Agreement for Peace and Self-Government in Kosovo of 23 February 1999, available on the official website of the U.S. Department of State, at: http://www.state.gov/www/regions/eur/ksvo_rambouillet_text.html [accessed: 15.12.2008] 696 P. R. Williams / F. Jannotti Pecci, Earned Sovereignty: Bridging the Gap Between Sovereignty and Self-Determination, in: Stanford Journal of International Law, Vol. 40, 2004, p. 376
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Nevertheless, after the NATO air campaign the UN Security Council
adopted the Resolution 1244 (1999) and created the legal basis of Kosovo’s
international administration. Moreover, this resolution retained the core
elements of the earned sovereignty approach enshrined in the Rambouillet
Accords.697
In sum, the Resolution 1244 (1999) had following legal impact on the status
of Kosovo: a) the document displaced the FRY’s sovereignty from Kosovo;
b) replaced it with interim UN and NATO sovereign responsibilities; c)
established substantial autonomy and democratic self-governance for the
people of Kosovo; d) facilitated a political process designed to determine
Kosovo’s future status, taking into account the Rambouillet Accords; e)
provided for the necessity of overseeing, at the final stage, the transfer of
authority from Kosovo’s provisional institutions to the institutions
established under the political settlement.698 At the same time, the resolution
in question introduced a substantial addition to the earned sovereignty
approach as it, in contrast to the Rambouillet Agreement which provided for
a transfer of sovereignty to the people of Kosovo, entrusted the UN with the
task of exercising sovereign functions in Kosovo:
“Resolution 1244 provided that the United Nations initially would assume
control of sovereign functions and negotiate a constitutional framework, and
then begin the transfer of sovereign functions to Kosovar institutions.
Simultaneously, the United Nations was mandated to pursue a resolution of
the final status of Kosovo.”699
Thus, we have got the UN Security Council Resolution 1244 (1999) in
which the principal organ of the world organization reaffirms the
commitment of the international community to the sovereignty and
territorial integrity of the FRY “as set out in the Final Act of the Conference
on Security and Cooperation in Europe, signed at Helsinki 1 August 1975,
697 Ibid. 698 Ibid., p. 377 699 Ibid.
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and in annex II to the present resolution”700. Respective provision of the
annex II of the document provides that an agreement should be reached on
the following principle (among others) in order to move towards a
resolution of the problem:
“8. A political process towards the establishment of an interim political
framework agreement providing for substantial self-government for
Kosovo, taking full account of the Rambouillet Accords and the principles
of sovereignty and territorial integrity of the Federal Republic of Yugoslavia
and the other countries of the region, [...]”701
It is also emphasized in the resolution that the political solution to the
Kosovo crisis shall be based on the principles enshrined in two annexes to
the document in question.702 As a result of this state of things, we have got
the UN Security Council resolution which, on the one hand, embodies the
very essence of the earned sovereignty provided for by the Rambouillet
Agreement and, at the same time, declares the commitment to the FRY’s
sovereignty and territorial integrity. The document envisions for Kosovo an
interim political framework agreement on the basis of which the entity in
question can enjoy “substantial self-government”. It is important at this
point to clarify, whether the document in question entails the possibility of
Kosovo’s secession.
7.2.5 The UN Security Council Resolution 1244 (1999) and the issue of
Kosovo’s secession
According to Borgen, the resolution neither promotes nor prevents
Kosovo’s secession: although it is stressed in the Resolution 1244 (1999)
that the political solution shall be based on the principles adopted in two
annexes to the document in question, those annexes are silent with regard to
the governmental form of the final status, as they refer to the interim
700 UNSC Res. 1244 (1999) of 10 June 1999, preambular para., in: Resolutions and Decisions of the Security Council (1999), SCOR 54, United Nations, New York, 2001, p. 33 701 UNSC Res. 1244 (1999) of 10 June 1999, Annex II, para. 8, in: Ibid., p. 37 702 See UNSC Res. 1244 (1999) of 10 June 1999, para. 1, in: Ibid., p. 33
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political framework.703 This author emphasizes the fact that the
responsibility of the international civil presence is to promote the
establishment, pending a final settlement, of substantial autonomy and self-
government in Kosovo and this “substantial autonomy” language is
applicable to the interim status of Kosovo.704 Furthermore, the author asserts
that references to the territorial integrity of the FRY are solely “in the
preambular language and not in the operational language. The document is
therefore silent as to what form the final status of Kosovo takes.”705
According to another source, the reference in the preamble to the
sovereignty and territorial integrity of the FRY was conditioned by utmost
upholding of the Helsinki Final Act, which entails equal recognition of a
state’s right to sovereignty and territorial integrity and the right to self-
determination enjoyed by the minority people.706
Goodwin asserts that the Security Council Resolution 1244 (1999) does not
provide a basis for an imposed solution as the necessity of a negotiated
agreement has been emphasized in the document in question, and the
resolution is at pains to affirm the FRY’s sovereignty and territorial
integrity.707 The author stresses the fact that the Rambouillet Accords
guaranteed Kosovo substantive autonomy through negotiations between the
two parties and, at the same time, the agreement ruled out changes to the
borders of the province regardless of rejection of its provisions by Serbia.708
It has been emphasized by Goodwin that within the plain meaning of the
notion of “self-government”, as denoting merely the control over internal
affairs: “the legal basis establishing the UN mission in Kosovo appears to
703 C. J. Borgen, Kosovo’s Declaration of Independence: Self-Determination, Secession and Recognition, in: ASIL Insights, Vol. 12, Issue 2, 2008, available on the website of the ASIL, at: http://www.asil.org/search.cfm?displayPage=358 [accessed: 16.12.2008] 704 Ibid. 705 Ibid. 706 B. Grgić / P. Marusich, Interpreting Kosovo’s Independence, in: Slovak Foreign Policy Affairs, Review for international politics, security and integration, Vol. VI, 2005, p. 26 707 M. Goodwin, From Province to Protectorate to State? Speculation on the Impact of Kosovo’s Genesis upon the Doctrines of International Law, in: German Law Journal, Vol. 8, 2007, p. 11 708 Ibid.
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rule out independence unless established via a consensual political
process.”709
It has to be noted at this stage that, according to the Rambouillet Agreement,
there shall be no changes to the borders of Kosovo. But it is also true that
the same document provided for a necessity to convene a meeting after
certain period of time, in order to determine a mechanism for a final
settlement for Kosovo taking into account, among other things, the will of
the respective people. In introducing this latter provision, the document has
underscored the dimensions of the earned sovereignty approach. Thus, it
cannot be said that the Rambouillet Accords ruled out Kosovo’s
independence, as an option, at the end of the road.
As a consequence of the Security Council Resolution 1244 (1999), Kosovo
was transformed into a UN protectorate, Serbia’s claims to Kosovo largely
eroded and civil and military presence of Serbia was removed on the basis
of introduction of the UN administration and the KFOR.710 It has been
stressed that the first legislative act of the UNMIK de facto suspended
Serbia’s sovereignty over Kosovo and, while the UN claims no sovereignty
over Kosovo, it is also true that the UNMIK has not administered the
territory in question in the name of Serbia and Kosovo is in no manner
governed by Serbia.711 The following conclusion has been made with regard
to the legal context since 1999:
“[...] the UN has served as an enabler for Kosovo’s self-governance while
Serbia has watched on the sidelines. The unsettled sovereignty of the region
promotes the argument that Kosovo has de jure independence as a
consequence of its de facto status.”712
It follows that what Milošević did not accept earlier, was imposed on the
FRY after the NATO military intervention. The legal basis of that
imposition was the UN Security Council Resolution 1244 (1999). An
709 Ibid. 710 See B. Grgić / P. Marusich, Interpreting Kosovo’s Independence, in: Slovak Foreign Policy Affairs, Review for international politics, security and integration, Vol. VI, 2005, p. 25 711 Ibid. 712 Ibid., (italics in original)
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important question in this respect reads as follows: could the UN Security
Council impose Kosovo’s independence on Serbia? The latter question has
to be answered at this point.
7.2.6 Kosovo’s independence imposed on Serbia?
7.2.6 (i) The UN Security Council and the issue of permanent
alteration of state boundaries
According to Goodwin, Chapter VII of the UN Charter does not expressly
grant the Security Council the authority to alter territorial borders of a state
without the consent of that state, but this power can be inferred from the
wording of Art. 41 of the Charter.713 The latter provision of the document
stipulates that the Security Council has the competence to decide about the
measures (not involving the use of armed force) which have to be employed
in order to give effect to its decisions.714 The ICTY has stressed with regard
to Articles 41 and 42 that they express a broad discretion of the Security
Council in deciding on the course of action needed for the maintenance and
restoration of international peace and security under Chapter VII of the
Charter:
“The language of Article 39 is quite clear as to the channelling of the very
broad and exceptional powers of the Security Council under Chapter VII
through Articles 41 and 42.”715
Furthermore, extensive powers of the UN Security Council can be deduced
from the doctrine of implied powers elaborated by the ICJ:
“Under international law, the Organization must be deemed to have those
powers which, though not expressly provided in the charter, are conferred
713 M. Goodwin, From Province to Protectorate to State? Speculation on the Impact of Kosovo’s Genesis upon the Doctrines of International Law, in: German Law Journal, Vol. 8, 2007, p. 12 714 See Article 41 of the Charter of the United Nations, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995, pp. 14-15 715 International Criminal Tribunal for the Former Yugoslavia: Decision in Prosecutor v. Duško Tadić, Case No. IT-94-1-AR72, para. 31, in: 35 ILM 32 (1996), p. 43
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upon it by necessary implication as being essential to the performance of its
duties.”716
Given those extensive powers of the UN Security Council, their impact on
the case of Kosovo has to be addressed. Goodwin casts doubt on the
applicability of Art. 39 to the “current” situation between Kosovo and
Serbia.717 It has to be stressed at this point that the article in question was
published in 2007. So, Goodwin refers to “historical abuses” of the rights of
Kosovo Albanians and questions, whether Art. 39 of the UN Charter can
reasonably be activated by a situation which no longer exists. The following
conclusion has been made in respect of Kosovo’s status:
“Despite the doubts raised, there remain strong arguments to support the
suggestion that the Security Council is empowered under Chapter VII to
grant Kosovo independence; at least, that such action would be in line with
earlier expansions of Security Council powers.”718
But before addressing the dimensions of the Kosovo case in this context, the
possibility of the “internationally promoted” emergence of an independent
state has to be examined.
7.2.6 (ii) Independence via “internationalization”: the case of East
Timor
It is important at this stage to consider the example of East Timor, former
Portuguese colony which enjoyed short period of independence lasting for a
few days in 1975 and which was forcibly annexed by Indonesia, the latter
transforming the territory in question into her 27th province.719 It has to be
noted that the annexation was not recognized by the UN which regarded
East Timor as a non-self-governing territory, i.e. despite the fact that
716 Reparation for injuries suffered in the service of the United Nations, Advisory Opinion: I.C.J. Reports 1949, p. 174 (p. 182) 717 M. Goodwin, From Province to Protectorate to State? Speculation on the Impact of Kosovo’s Genesis upon the Doctrines of International Law, in: German Law Journal, Vol. 8, 2007, p. 15 718 Ibid., p. 16 719 See M. Schlicher / A. Flor, Osttimor – Konfliktlösung durch die Vereinten Nationen, in: K. Ipsen et al. (Hrsg.), FW, Journal of International Peace and Organization, Bd. 78, Heft 1, 2003, p. 251
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Indonesia had occupied the territory in question, this de facto situation was
neglected and Portugal was still considered as a de jure administering
power.720
In 1999, after the worsening of economic and political situation within the
country, the Indonesian government expressed its intention to offer the
people of East Timor a choice between autonomy and independence.721
Moreover, in January 1999 Suharto’s interim successor, President Habibie
announced that if the East Timorese did not accept the offer concerning the
autonomous status, he would recommend separation of the territory from
Indonesia.722 Further important developments with regard to the problem of
East Timor took place on 5 May 1999 as the agreement was reached
between Indonesia and Portugal on the question of East Timor and, at the
same time, there were agreements between the UN and the governments of
Indonesia and Portugal concerning the modalities for the popular
consultation of the East Timorese through a direct ballot.723
The UN mandated the mission in East Timor (UNAMET) to conduct the
self-determination ballot and, as pro-Indonesian militia and the Indonesian
army responded to an overwhelming vote for independence on 30 August
1999 with violence, Indonesia was pressured to accede to an Australian-led,
UN-mandated multinational force, the International Force for East Timor
(INTERFET) which was entrusted with the task of restoring order.724
The UN Security Council passed the Resolution 1272 (1999) on the basis of
which the principal organ of the world organization: a) welcomed the
successful conduct of the popular consultation in East Timor; b) took note
of the outcome expressing the will of the East Timorese people to begin the
process of transition, under the authority of the UN, towards independence;
c) reaffirmed respect for the sovereignty and territorial integrity of
720Ibid., p. 254 721 See S. Nair, Human Rights, Sovereignty, and the East Timor “Question”, in: Global Society, Journal of Interdisciplinary International Relations, Vol. 14, 2000, p. 115 722 I. Martin / A. Mayer-Rieckh, The United Nations and East Timor: From Self-Determination to State-Building, in: International Peacekeeping, Vol. 12, 2005, p. 105 723 See UNSC Res. 1272 (1999) of 25 October 1999, in: Resolutions and Decisions of the Security Council (1999), SCOR 54, United Nations, New York, 2001, p. 130 724 See I. Martin / A. Mayer-Rieckh, The United Nations and East Timor: From Self-Determination to State-Building, in: International Peacekeeping, Vol. 12, 2005, p. 104
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Indonesia; d) determined that the continuing situation in East Timor
constitutes a threat to peace and security; e) acting under Chapter VII of the
UN Charter, decided to establish the United Nations Transitional
Administration in East Timor (UNTAET).725
This resolution bears important peculiarities concerning the legal context of
its application. According to Rothert, any threat to international peace and
security was quelled by the INTERFET, it follows that the situation in East
Timor did not constitute a threat to the international peace and security by
the time when the Security Council adopted the resolution in question. But
the strongest argument for the UN transitional administration was that the
alternative was anarchy and, at that time, the anarchy in East Timor could
pose a threat to international peace and security.726 Furthermore, the author
stresses that the document introduced a kind of novelty within the
international legal system: a threat to the exercise of the right to self-
determination in a non-self-governing territory represents a threat to
international peace and security, despite the fact that this precedent is
limited to the transitional situations and the cases in which the UN assumes
an active role in giving effect to the right of self-determination.727
Thus, East Timor became the territory governed by the international
administration during the period of “transition”. It has to be noted at this
stage that the UNTAET had extensive powers. According to Traub, the
transitional administration “is not just helping the new country’s
government – it is that government.”728 In May 2002 East Timor became an
independent state, the Democratic Republic of Timor-Leste.729 On 27
September 2002 the newly emerged state was admitted to the UN.730
725 UNSC Res. 1272 (1999) of 25 October 1999, preambular paras. and para. 1, in: Resolutions and Decisions of the Security Council (1999), SCOR 54, United Nations, New York, 2001, pp. 130-131 726 M. Rothert, U.N. Intervention in East Timor, in: Columbia Journal of Transnational Law, Vol. 39, 2000, p. 281 727 Ibid. 728 J. Traub, Inventing East Timor, in: Foreign Affairs, Vol. 79, 2000, p. 74 (italics in original) 729 Information available on the official web portal of the Government of Timor-Leste, at: http://www.timor-leste.gov.tl/index.asp [accessed: 19.12.2008] 730 Information available on the official website of the UN, at: http://www.un.org/News/Press/docs/2006/org1469.doc.htm [accessed: 19.12.2008]
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This is an example of a former non-self-governing territory, which became
an independent state after the transitional international administration
established by the UN Security Council. But there are essential differences
between the two cases of Kosovo and East Timor. The latter represented a
territory that was illegally annexed by Indonesia and the situation was a
consequence of the illegal use of force, the state of affairs which was not
recognized by the overwhelming majority of the international community.
It has to be noted as a “starting point” that Suharto’s Indonesia did not
possess a valid territorial title, whereas Kosovo represented an autonomous
province of Serbia. Furthermore, there were agreements achieved between
Indonesia, Portugal and the UN regarding the right of the East Timorese
people to self-determination. Indonesia had formally consented to the
independent existence of East Timor by offering respective people the
choice between autonomy and independence. But Serbia has not done that.
Serbia considers Kosovo as its integral part. In his statement made at the
63rd session of the UN General Assembly, president of Serbia, Boris Tadić,
referred to Kosovo’s declaration of independence emphasizing that this act
represents “the unilateral, illegal and illegitimate declaration of
independence by the ethnic Albanian authorities of our southern province of
Kosovo and Metohija”731. Thus, the question relevant to the purposes of the
present study is, whether the UN Security Council could legally impose
Kosovo’s independence on Serbia without the consent of the latter.
7.2.6 (iii) Kosovo’s status in the context of “international
legislation”
Goodwin states that the UN Security Council has not altered state borders
on a permanent basis without, at least, the fiction of consent of states
involved and to do this in the case of Kosovo, would mean a new
development in respect of its competence and the extent of its authority,
describing the possibility of such an alteration as a “far-reaching assault on 731 General Assembly, 63rd session, Statement by H.E. Mr. Boris Tadić, President of the Republic of Serbia, New York, 23 September 2008, p. 1, available on the official website of the UN, at: http://www.un.org/ga/63/generaldebate/pdf/serbia_en.pdf [accessed: 20.12.2008]
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state sovereignty”732. It has been argued that the state of things which
envisions the alteration of boundaries of a sovereign state by the decision of
a group of states, acting in the form of the Security Council, would have far-
reaching impact on the doctrine of sovereign equality which represents a
meaningful bulwark protecting the position of weaker states.733 Goodwin
stresses that one of the fundamental functions of public international law is
to provide formal equality to the members of the international community,
and this aspect represents an essential distinction between international law
and the notion of politics and bearing in mind this circumstance, the author
concludes:
“[...] there is a strong sense in which support for an independent Kosovo is a
political choice rather than a legal one, and thus undermines the wider goal
of peace and security that the law is broadly intended to serve.”734
This is the point at which the relevance of NATO’s humanitarian
intervention has to be emphasized. According to Cvijic, it is impossible to
decide on the legality of Kosovo’s self-determination without linking this
issue to the problem of legality of the 1999 humanitarian intervention,
because the UN-mediated negotiating process on the status of the territory in
question, and the legal basis of the UNMIK, represent a continuation of the
military and political involvement of the NATO.735
It has been argued that humanitarian intervention, if carried out without the
authorization of the UN Security Council, is illegal under public
international law. But it can become legal after some period of time, if it
does not go beyond its original limited scope, i.e. the prevention of a
humanitarian catastrophe within a sovereign state.736 It follows that the
imposition of self-determination of Kosovo on Serbia, without the mandate
of the UN Security Council, as this latter state of affairs was caused by the
732 M. Goodwin, From Province to Protectorate to State? Speculation on the Impact of Kosovo’s Genesis upon the Doctrines of International Law, in: German Law Journal, Vol. 8, 2007, p. 16 733 Ibid., p. 17 734 Ibid. 735 S. Cvijic, Self-determination as a Challenge to the Legitimacy of Humanitarian Interventions: The Case of Kosovo, in: German Law Journal, Vol. 8, 2007, p. 60 736 Ibid.
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fear of a potential Russian or Chinese veto, would de-legitimize the original
intervention.737
If we recall the chain of events surrounding the case of Kosovo, the
following state of things becomes evident: Milošević rejected to sign the
Rambouillet Accords and after that refusal, on 24 March 1999, NATO
launched an air campaign against Belgrade. There were five main objectives
pursued during the campaign: a verifiable cessation of all combat activities
and killings, withdrawal of Serb military, police and paramilitary forces
from Kosovo, the deployment of an international military force, the return
of refugees and unimpeded access to humanitarian aid, a political
framework for Kosovo based on the Rambouillet Accords.738 NATO won
securing an outcome which was an expression of the deal that was
previously rejected by Milošević.739
On 3 June 1999 the Serbian leader accepted a joint EU-Russian peace
proposal. The “Ahtisaari – Chernomyrdin – Milošević Agreement” (the
“Kosovo Accords”) became an important document followed by the
“Military Technical Agreement” of 9 June between the International
Security Force (“KFOR”) and the FRY (“Kumanovo Agreement”) and the
UN Security Council Resolution 1244 (1999) on 10 June 1999, which de
facto suspended the FRY’s sovereignty over Kosovo. But it has to be
stressed that the settlement of 3-10 June, as a consequence of protracted
diplomatic efforts, included elements of compromise on the part of the
NATO.740
Thus, it can be asserted that the military intervention by the NATO was a
kind of watershed in this whole process. Moreover, the military involvement
in question establishes a link between the Rambouillet Accords and the
Security Council Resolution 1244 (1999). It can be argued that the
737 Ibid. 738 See A. Roberts, NATO’s “Humanitarian War” over Kosovo, in: Survival, The IISS Quarterly, Vol. 41, 1999, p. 103 739 I. H. Daalder / M. E. O’Hanlon, Unlearning the Lessons of Kosovo, in: Foreign Policy, No. 116, 1999, p. 130 740 A. Roberts, NATO’s “Humanitarian War” over Kosovo, in: Survival, The IISS Quarterly, Vol. 41, 1999, p. 116
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intervention of 1999 represented a kind of “compulsory basis” of the further
implementation of the Rambouillet Agreement.741
Bearing in mind these considerations, it has to be concluded that the
question, whether the UN Security Council could legally impose Kosovo’s
independence on Serbia, is connected with NATO’s military intervention. It
is important at this point to address the problem of the legislative capacity of
the Security Council.
7.2.6 (iv) The UN Security Council and its legislative capacity
As it was clearly demonstrated by the case of East Timor and the Resolution
1272 (1999) of the UN Security Council, the latter has the discretion to
invoke Chapter VII of the UN Charter, even if the factual situation does not
constitute a threat to the peace and security. The Security Council
determines the existence of this kind of situation on the basis of its extensive
powers and, sometimes, political considerations serve as guidelines in that
context:
“While the “act of aggression” is more amenable to a legal determination,
the “threat to the peace” is more of a political concept. But the
determination that there exists such a threat is not a totally unfettered
discretion, as it has to remain, at the very least, within the limits of the
Purposes and Principles of the Charter.”742
Invocation of Art. 39 of the Charter in the Kosovo case is not as problematic
as are the consequences of the Security Council legislation. It has been
stressed that the basic legal limitation on the legislative capacity of the
Security Council is that its exercise must relate to the maintenance of
international peace and security.743 According to Talmon, the Security
Council enjoys powers which are conferred on it, or implied in the UN 741 See M. - J. Calic, Die Jugoslawienpolitik des Westens seit Dayton, in: Aus Politik und Zeitgeschichte, Beilage zur Wochenzeitung Das Parlament, B 34/99, 1999, p. 28; See also B. Simma, NATO, the UN and the Use of Force: Legal Aspects, in: EJIL, Vol. 10, 1999, p. 9 742 International Criminal Tribunal for the Former Yugoslavia: Decision in Prosecutor v. Duško Tadić, Case No. IT-94-1-AR72, para. 29, in: 35 ILM 32 (1996), p. 43 (emphases in original) 743 See P. C. Szasz, The Security Council Starts Legislating, in: AJIL, Vol. 96, 2002, p. 904
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Charter, and its resolutions acquire binding force in terms of Art. 25 if those
resolutions are intra vires the UN Charter, i.e. the legislative powers of the
Council are limited by the jurisdiction of the UN and by the attribution and
division of competences within the organization itself.744
As with regard to Art. 39 of the UN Charter, it has been emphasized that the
basic restriction of the Council’s legislative power is the requirement,
according to which, the competence of the Security Council must be
exercised “in a manner that is conducive to the maintenance of international
peace and security. The Charter does not establish the Council as an
omnipotent world legislator but, rather, as a single-issue legislator.”745 It
follows that, according to the provisions of the UN Charter, the Council’s
actions under Chapter VII are subject to the principle of proportionality:
“These provisions indicate that Council legislation must be necessary in
order to maintain international peace and security, meaning that the usual
ways to create obligations of an abstract and general character (the
conclusion of treaties and the development of customary international law)
must be inadequate to achieve that aim. Council legislation is always
emergency legislation.”746
Furthermore, the humanitarian intervention, as such, is subject to certain
criteria justifying its accomplishment. According to Cassese, under
following conditions, resort to armed force may gradually become justified
even absent any authorization by the UN Security Council: a) gross
breaches of human rights involving loss of life of hundreds or thousands of
innocent people, and amounting to crimes against humanity, are committed
on the territory of a sovereign state; b) if the crimes result from anarchy in a
respective state, it has to be proved that central authorities are unable to
bring those crimes to a halt. If those atrocities are the work of central
authorities, it must be demonstrated that those authorities rejected the
cooperation with international institutions or refused to comply with
appeals, recommendations etc; c) the UN Security Council is unable to take
744 S. Talmon, The Security Council as World Legislature, in: AJIL, Vol. 99, 2005, p. 182 745 Ibid. 746 Ibid., p. 184 (italics in original)
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any coercive action to stop the atrocities; d) all peaceful means to achieve a
solution have been exhausted; e) a group of states (not a single hegemonic
power, nor such a power with the support of a client state or an ally) decides
to try to put an end to the massacres with the support or non-opposition of
the majority of the UN members.747 The sixth criterion is of direct relevance
to the legislative capacity of the Security Council and it embodies the
principle of proportionality in this context. The requirement in question
reads as follows:
“(vi) armed force is exclusively used for the limited purpose of stopping the
atrocities and restoring respect for human rights, not for any goal going
beyond this limited purpose.”748
Bearing in mind that the legislation of the UN Security Council is always
the emergency legislation limited to the objective of maintenance of the
international peace and security, and the creation of obligations of an
abstract and general character is considered to be inadequate to achieve that
aim, it has to be concluded that the Security Council Resolution 1244 (1999)
could not legally impose Kosovo’s independence on the FRY as this kind of
imposition would represent the permanent alteration of borders of a
sovereign independent state. This assertion is also backed by the fact that
the document in question is linked with NATO’s humanitarian intervention,
and the principle of proportionality is applicable to both of them. This state
of things is also confirmed with reference to the mandate of the UNMIK
which lacked a political resolution for the issue of Kosovo.749 Furthermore,
the disruptive effect of such an imposition on the sovereign equality of
states denotes that this solution would not contribute to the maintenance of
the international peace and security, on the contrary, “the permanent
alteration of Serbia’s borders without its consent would be manifestly
747 A. Cassese, Ex iniuria ius oritur: Are We Moving towards International Legitimation of Forcible Humanitarian Countermeasures in the World Community?, in: EJIL, Vol. 10, 1999, p. 27 748 Ibid. 749 See S. Chesterman, East Timor in Transition: Self-determination, State-building and the United Nations, in: International Peacekeeping, Vol. 9, 2002, p. 59
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disproportionate to the task of maintaining international peace and
security.”750
7.2.6 (v) The UN Security Council Resolution 1244 (1999) as the
document legitimizing the new territorial status
The UN Security Council Resolution 1244 (1999) did not impose Kosovo’s
independence, as such, on the FRY, the document in question is neutral with
regard to the secession of Kosovo. Furthermore, this resolution did not
legalize the intervention, but it “appears to have recognised the new state of
affairs by legalising instantaneously the new territorial status.”751 Thus,
despite repeated protests against NATO’s intervention, Russia and China
participated in the legitimization of the new territorial situation by not
opposing the resolution.752
The problem is that, according to Chesterman, within the international
administration established on the basis of the document in question, it was
long an open secret that, at the end of the day, Kosovo would acquire the
status of an independent state.753 The attitude of the UN Security Council
towards the issue of Kosovo was stressed in the Statement of the President
of the Security Council issued on 24 October 2005. Respective passage
reads as follows:
“The Council therefore supports the Secretary-General’s intention to start a
political process to determine Kosovo’s Future Status, as foreseen in
Security Council resolution 1244 (1999).”754
750 See M. Goodwin, From Province to Protectorate to State? Speculation on the Impact of Kosovo’s Genesis upon the Doctrines of International Law, in: German Law Journal, Vol. 8, 2007, p. 16 751 E. Milano, Unlawful Territorial Situations in International Law, Reconciling Effectiveness, Legality and Legitimacy, Developments in International Law, Vol. 55, Leiden / Boston, 2006, p. 15 752 Ibid., p. 16 753 S. Chesterman, East Timor in Transition: Self-determination, State-building and the United Nations, in: International Peacekeeping, Vol. 9, 2002, p. 59 754 UNSC, Statement by the President of the Security Council, S/PRST/2005/51, of 24 October 2005, available on the official website of the UN, at: http://www.un.org/Docs/sc/unsc_pres_statements05.htm [accessed: 26.12.2008]
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Under the Security Council Resolution 1244 (1999) the question of
Kosovo’s final status, as such, was deferred.755 The resolution established
the international administration with a comprehensive mandate
encompassing responsibilities in all three branches of the government.756 It
has been stressed that, during the interim period, the stance of the
international community expressed by the Contact Group was determined
by four basic principles: no to Belgrade’s preference of status quo ante, no
to Priština’s choice implying immediate full independence, no to Serbia’s
plan concerning the division of Kosovo and no to Kosovo’s striving for
Greater Kosovo or Albania.757
Kovács asserted in 2003 that the “waiting game” over Kosovo could end
with the recognition of independence and, in this case, the international
community would be assisting in dismantling the normative orthodoxy
which shaped its decisions concerning the recognition of former republics of
the Yugoslav federation. So, Kosovo’s independence would imply that, for
the first time during the Balkan crisis, statehood would be granted to a
territory which is smaller than a former federal republic.758 It follows that
unless Serbia and Montenegro would agree to a negotiated divorce, the
recognition of Kosovo’s independence would override the rule of uti
possidetis as applied to the case of the former Yugoslavia.759
7.2.7 Kosovo’s “final” status settlement and its legal implications
In 2007 the Special Envoy of the UN Secretary-General for the future status
process for Kosovo, Martti Ahtisaari, submitted the report on Kosovo’s
future status and the “Comprehensive Proposal for the Kosovo Status
Settlement” (the so-called “Ahtisaari Plan”). Upon the consideration of
Kosovo’s history and existing reality and negotiations with respective 755 See S. Talbott, Self-Determination in an Interdependent World, in: Foreign Policy, No. 118, 2000, p. 156 756 See H. Strohmeyer, Collapse and Reconstruction of a Judicial System: The United Nations Missions in Kosovo and East Timor, in: AJIL, Vol. 95, 2001, pp. 46-47 757 W. van Meurs / S. Weiss, Kosovo’s Post-Status Status and the Status of EU Conditionality, in: Südosteuropa Mitteilungen, Jg. 46, 2006, p. 19 758 M. M. Kovács, Standards of self-determination and standards of minority-rights in the post-communist era: a historical perspective, in: Nations and Nationalism, Vol. 9, 2003, p. 446 759 Ibid., pp. 446-447
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parties, Ahtisaari arrived at the conclusion that the only viable solution to
the problem was Kosovo’s independence, supervised, for an initial period,
by the international community.760 The conclusion of the document
embodies the most important hallmark of the Kosovo case, namely its
uniqueness:
“15. Kosovo is a unique case that demands a unique solution. It does not
create a precedent for other unresolved conflicts. In unanimously adopting
resolution 1244 (1999), the Security Council responded to Milosevic’s
actions in Kosovo by denying Serbia a role in its governance, placing
Kosovo under temporary United Nations administration and envisaging a
political process designed to determine Kosovo’s future. The combination
of these factors makes Kosovo’s circumstances extraordinary.”761
It is true that Serbia rejected the “Ahtisaari Plan”, but the Kosovo Albanian
leadership endorsed the “Comprehensive Proposal for the Kosovo Status
Settlement”. The Assembly of Kosovo accepted the Proposal in the
declaration made in 2007 expressing its commitment to the implementation
of the document in a legally binding manner, and in the declaration of
independence of 17 February 2008 the Assembly reiterated its commitment
to the implementation of the settlement.762 Moreover, respective provisions
of the settlement are enshrined in the Constitution of the Republic of
Kosovo adopted by the Assembly on 9 April 2008 and in other domestic
legal acts.763
These developments surrounding the Kosovo case are uncommon within the
realm of public international law. It has been asserted that Ahtisaari’s
Comprehensive Proposal concerning Kosovo’s final status represented a
760 Letter dated 26 March 2007 from the Secretary-General addressed to the President of the Security Council, Report of the Special Envoy of the Secretary-General on Kosovo’s future status, UNSC, S/2007/168, 26 March 2007, para. 5, p. 2, available on the official website of the United Nations Office of the Special Envoy for Kosovo, at: http://www.unosek.org/docref/report-english.pdf [accessed: 27.12.2008] 761 Report of the Special Envoy of the Secretary-General on Kosovo’s future status, UNSC, S/2007/168, 26 March 2007, para. 15, in: Ibid., p. 4 762 Information available on the official website of the International Civilian Office Kosovo, at: http://www.ico-kos.org/?id=4 [accessed: 27.12.2008] 763 Ibid.
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“roadmap for independence”764. In the Statement of the President of the
Security Council issued on 24 October 2005 and made on behalf of the main
body of the organization, reference was made to the Security Council
Resolution 1244 (1999) as the document envisaging the initiation of a
process of the determination of Kosovo’s final status. But that resolution did
not impose Kosovo’s independence on the FRY. Despite this fact, the
resolution was applied as a legal basis for starting the political process of the
final status settlement. A respective proposal, providing for Kosovo’s
independence, was rejected by the Serb authorities and was, on the contrary,
endorsed by the Kosovo Albanians.
This state of things was accompanied by negotiations between the parties
involved, conducted by the “Troika” composed of the EU, the US and the
Russian Federation. In December 2007 the negotiator concluded that parties
were unable to reach an agreement as neither side was willing to yield to the
demands of the other party concerning the core question, namely the issue
of sovereignty. It can be thus said that Serbia did not agree to Kosovo’s
independence. In February 2008 Kosovo was declared independent by
respective authorities. Thus, the unilateral declaration of independence
(UDI) took place, there was no negotiated divorce.
So, the question of overwhelming importance reads as follows: what has
really happened to Kosovo? It has been asserted that the international
community and Serbia, through the acquiescence to the progression of
events, have created “self-determination by estoppel” steering the Kosovo
Albanians into the expectation of unfettered independence following a
referendum.765 This phrase, “self-determination by estoppel”, is an
interesting manifestation of the right to self-determination and it is
important at this point to examine its dimensions and the question of its
applicability to the Kosovo case.
764 T. Loza, Kosovo: When Success Equals Failure [7 August 2007], in: Transitions Online (www.tol.org), Issue no. 08/14/2007, p. 1 765 B. Grgić / P. Marusich, Interpreting Kosovo’s Independence, in: Slovak Foreign Policy Affairs, Review for international politics, security and integration, Vol. VI, 2005, p. 26
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7.2.8 Self-determination by estoppel?
7.2.8 (i) The notion of acquiescence and its dimensions
Acquiescence is an essential element of the acquisitive prescription, the
latter representing a mode of the attainment of the title to territory:
“The doctrine of acquiescence represents the proposition of binding effect
resulting from passivity and inaction with respect to foreign claims which,
according to the general practice of States […] usually call for protest in
order to assert, preserve or safeguard rights.”766
Acquiescence is expressed through the following maxim: qui tacet
consentire videtur si loqui debuisset ac potuisset, but the concept in
question is not a simple toleration or silence in the context of a respective
claim, the notion of acquiescence represents “a type of qualified inaction
(qualifiziertes Stillschweigen).”767 It follows that the concept in question is
an expression of silence, but silence does not amount to acquiescence in
each and every single situation and the application of the doctrine of
acquiescence depends on the circumstances of a particular case.768
Acquiescence is a significant manifestation in the context of the creation of
prescriptive rights. Following dimensions of acquiescence are of
overwhelming importance with regard to a de facto situation:
“(1) Acquiescence is equivalent to tacit or implied consent. It takes the form
of silence or absence of protest in circumstances which, according to the
practice of States and the weight of authority, demand a positive reaction in
order to preserve a right.
(2) It may be said to constitute an admission or recognition of the legality of
the practice in question, or to serve the purpose of validating a practice
which was originally illegal.
766 J. P. Müller / T. Cottier, Acquiescence, in: R. Bernhardt (ed.), EPIL, Vol. 1 (1992), p. 14 767 Ibid., (italics in original) 768 See I. C. MacGibbon, The Scope of Acquiescence in International Law, in: BYIL, Vol. 31, 1954, p. 170
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(3) A consequence of acquiescence is to preclude an acquiescent State from
denying or challenging the validity of a claim in which it has
acquiesced.”769
As it is evident from these considerations, the notion of acquiescence
represents the manifestation having different weighty dimensions. It must be
noted that the notion of acquiescence played an important role in significant
judgments of the ICJ. In the case concerning the Temple of Preah Vihear the
difference in views between Cambodia and Thailand about the territorial
sovereignty over the region of this ancient temple was the subject of the
dispute. Until Cambodia became independent in 1953, it was a part of the
French Indo-China and its foreign relations were conducted by France
which concluded a boundary treaty with Thailand (the latter was then called
Siam) in 1904. According to Art. 1 of this document, the line of the frontier
in the eastern part of the Dangrek region followed the line of the true
watershed, placing the Temple of Preah Vihear in Thailand. It has been
agreed that the exact course of the frontier was to be delimited by a Mixed
Commission of French and Siamese delegates.
The Siamese authorities requested that the French topographical officers
should map the region. The French officers accomplished this task in 1907
and presented the map, according to which, the Temple of Preah Vihear was
on the Cambodian side. This map was the central issue in the context of the
case in question. Cambodia founded its claim to respective territory on this
map, while Thailand argued that this map contained a mistake and asserted
that she had taken a passive position and “a course of conduct, involving at
most a failure to object, cannot suffice to render her a consenting party […]
so great as to affect the sovereignty over the Temple area.”770 The Court
examined Thailand’s argument and made a statement of overwhelming
importance with regard to the issue of acquiescence:
“[…] it is clear that the circumstances were such as called for some reaction,
within a reasonable period, on the part of the Siamese authorities, if they
769 Ibid., p. 182 770 Case concerning the Temple of Preah Vihear (Cambodia v. Thailand), Merits, Judgment of 15 June 1962: I.C.J. Reports 1962, p. 6 (p. 22)
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wished to disagree with the map or had any serious question to raise in
regard to it. They did not do so, either then or for many years, and thereby
must be held to have acquiesced.”771
As a result of this situation, the Court found that “the Temple of Preah
Vihear is situated in territory under the sovereignty of Cambodia.”772
It follows that an effective protest is required to avoid legal consequences of
acquiescence. It has been suggested that raising an objection in an indirect
way does not amount to effective protest, a valid protest requires “a formal
objection on the specific points”773 which should be followed by other
permissible means such as enquiry, mediation, conciliation or bringing the
issue before international organizations. If respective states have accepted
the jurisdiction of the ICJ, the protesting state can approach the world court
for the judicial settlement of the dispute.774
Thus, in order to prevent acquiescence from working, a state, confronted
with a claim on the part of another state, should protest quickly, firmly and
frequently and with regard to any possible implication that might arise out
of the claim.775 It is important at this point to refer to the notion of estoppel,
or preclusion, which is another significant manifestation in this overall
context.
7.2.8 (ii) The concept of estoppel in international law
The concept in question means that the party relying on estoppel must have
been impelled to undertake the action having legal consequences, or to
abstain from it, on the basis of definite and unequivocal representations of
another state and this reliance on the statements of that state must take place
in good faith. It follows that the deviation from the initial representation
771 Ibid., p. 6 (p. 23) 772 Ibid., p. 6 (p. 36) 773 See P. K. Menon, Title to Territory: Traditional Modes of Acquisition by States, in: RDI, Vol. 72, 1994, p. 31 774 Ibid., pp. 31-32 775 See D. H. N. Johnson, The Anglo-Norwegian Fisheries Case, in: ICLQ, Vol. 1, Pt. 2, 1952, pp. 165-166
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must bring about damages to the relying state or advantages for the
representing state.776
Essential requirements connected with the operation of estoppel can be
summarized as follows: the meaning of the statement or representation must
be clear and unambiguous, the representation or statement must be
voluntary, unconditional and authorized, and a party must rely, in good
faith, on the representation / the statement of the other state to its detriment,
or to the advantage of the representing state or the party making a
statement.777
It is important at this stage to introduce some meaningful considerations in
respect of the concept in question. The Temple of Preah Vihear Case is
informative with regard to the notion of estoppel. Judge Alfaro made a
statement concerning the principle applied by the ICJ in this case. The
statement explains the essence of the concept in question and, therefore, it
may be quoted at some length:
“[…] a State must not be permitted to benefit by its own inconsistency to
the prejudice of another State (nemo potest mutare consilium suum in
alterius injuriam). A fortiori, the State must not be allowed to benefit by its
inconsistency when it is through its own wrong or illegal act that the other
party has been deprived of its right or prevented from exercising it. (Nullus
commodum capere de sua injuria propria). […] the party which by its
recognition, its representation, its declaration, its conduct or its silence has
maintained an attitude manifestly contrary to the right it is claiming before
an international tribunal is precluded from claiming that right (venire contra
factum proprium non valet).”778
It has been asserted by Judge Alfaro that the principle, according to which,
the contradiction between previous acts and subsequent claims has to be
condemned, is not a mere rule of evidence, it represents the rule of
776 J. P. Müller / T. Cottier, Estoppel, in: R. Bernhardt (ed.), EPIL, Vol. 2 (1995), p. 116 777 See D. W. Bowett, Estoppel before International Tribunals and its Relation to Acquiescence, in: BYIL, Vol. 33, 1957, pp. 188-193 778 Separate Opinion of Vice-President Alfaro, Case concerning the Temple of Preah Vihear (Cambodia v. Thailand), Merits, Judgment of 15 June 1962: I.C.J. Reports 1962, p. 6 (p. 40; italics in original)
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“substantive character”.779 The primary foundation of the principle in
question has been regarded to be the good faith that must predominate in
international relations.780
As with regard to the status of the notion of estoppel within the realm of
public international law, it has been asserted that it is doubtful, whether the
concept in question has entered the corpus of customary international law,
but it can be regarded as a general principle of law as it is common to most
domestic legal systems.781 It has to be noted that the PCIJ referred to “the
principle of estoppel”.782 Hence, the notion of estoppel enters the realm of
public international law through Art. 38, 1.(c) of the Statute of the ICJ.783
The spatial dimension of the concept in question reads as follows:
“The doctrine of estoppel would mean that a State which had recognized
another State’s title to a particular territory would be estopped from denying
the other State’s title if that State had taken some action in reliance on the
recognition.”784
Bearing in mind these considerations, it cannot be said that the notions of
acquiescence and estoppel are applicable to the case of Kosovo.
7.2.8 (iii) There is no self-determination by estoppel in the case of
Kosovo
There was no such passivity and inaction on the part of Serbia which can be
regarded as a tacit or implied consent to the claims of the Kosovo
Albanians. Serbia protests effectively and on the specific points against
Kosovo’s independence, and the statement made by the president of Serbia
at the 63rd session of the UN General Assembly demonstrates this objection
779 Ibid., p. 6 (p. 41) 780 Ibid., p. 6 (p. 42) 781 See I. C. MacGibbon, Estoppel in International Law, in: ICLQ, Vol. 7, 1958, p. 470 782 Case concerning the Payment of Various Serbian Loans Issued in France, in: Publications of the Permanent Court of International Justice, Ser. A. Nos. 20/21, Collection of Judgments, Leyden, 1929, p. 39 783 See Article 38, 1.(c) of the Statute of the International Court of Justice, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995, p. 448 784 P. K. Menon, Title to Territory: Traditional Modes of Acquisition by States, in: RDI, Vol. 72, 1994, p. 33
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quite clearly. Moreover, Serbia has brought the question of legality of
Kosovo’s UDI before the UN.785 On 8 October 2008 the UN General
Assembly decided to request the ICJ to render an advisory opinion on the
question of compatibility with international law of unilateral declaration of
independence (UDI) made by the Provisional Institutions of Self-
Government (PISG) of Kosovo.786
Thus, it cannot be said that Serbia failed to protest and recognized the title
of the Kosovo Albanians to the territory in question. It follows that Serbia
cannot be estopped from denying that title. In sum, the notions of
acquiescence and estoppel are not applicable to Serbia, because it constantly
uses every occasion for the assertion of her claim to Kosovo. Bearing in
mind these considerations, the notion of “self-determination by estoppel”
has to be rejected in the case of Kosovo.
7.2.9 The reasoning behind the Kosovo status settlement and the
problem of precedential value of the Kosovo case
It has to be borne in mind that the international community regarded Serbian
actions in the 1990s as the factor having profound impact on Kosovo’s
cause for independence, and the outcome of the process of respective
settlement concerning the final status of the territory in question was
influenced by those actions. On 31 January 2006 the Contact Group (made
up of the US, the UK, France, Italy, Germany and the Russian Federation)
issued the London Declaration. The following statement was made in this
document:
785 Information available on the official website of the Serbian Government, at: http://www.srbija.gov.rs/vesti/vest.php?id=48692 [accessed: 03.01.2009] 786 UNGA, A/RES/63/3, 63rd session, Agenda item 71, 8 October 2008, Resolution adopted by the General Assembly [without reference to a Main Committee (A/63/L.2)], 63/3. Request for an advisory opinion of the International Court of Justice on whether the unilateral declaration of independence of Kosovo is in accordance with international law, available on the official website of the UN, at: http://www.un.org/ga/63/resolutions.shtml [accessed: 03.01.2009]
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“Ministers look to Belgrade to bear in mind that the settlement needs, inter
alia, to be acceptable to the people of Kosovo. The disastrous policies of the
past lie at the heart of the current problems.”787
Furthermore, in his report on Kosovo’s future status, the Special Envoy of
the UN Secretary-General for the future status process for Kosovo stressed
that the history of enmity and mistrust has antagonized the relationship
between the Kosovo Albanians and the Serbs, this state of things was
exacerbated by the actions of Milošević’s regime in the 1990s and the return
of the Serbian rule would not be acceptable to the overwhelming majority of
the population of Kosovo.788 It is thus evident that the international
community considered the return to status quo ante impossible, the re-
establishment of the Serbian rule over Kosovo was excluded, because the
Kosovo Albanians would not tolerate such a solution.
But it can be asserted that all the soothing rhetoric about the uniqueness of
the Kosovo case turned out erroneous. The problem is that, in terms of a
purely legal approach, the Kosovo case cannot have any precedential value
because it was a unique problem which demanded a unique solution. Indeed,
it can be asserted that international response to the Kosovo crisis “was a sui
generis incident at a particular point in international political and legal
development.”789 But how can one persuade political elites in different de
facto states not to refer to the example of Kosovo in furtherance of their
claim to statehood? This is the point at which we enter the world of
“political international law”, where the notion of fait accompli occupies a
prominent place. Fawn has summarized elements of the impact of the
Kosovo case on the claims of the post-Soviet de facto states:
787 Statement by The Contact Group on The Future of Kosovo – London 31 January 2006 (31/01/06), available on the official website of the United Nations Office of the Special Envoy for Kosovo, at: http://www.unosek.org/unosek/en/docref.html [accessed: 03.01.2009] 788 Letter dated 26 March 2007 from the Secretary-General addressed to the President of the Security Council, Report of the Special Envoy of the Secretary-General on Kosovo’s future status, UNSC, S/2007/168, 26 March 2007, paras. 6, 7, p. 3, available on the official website of the United Nations Office of the Special Envoy for Kosovo, at: http://www.unosek.org/docref/report-english.pdf [accessed: 03.01.2009] 789 H. McCoubrey, Kosovo, NATO and International Law, in: International Relations, Vol. XIV, 1999, pp. 35-36 (italics in original)
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1. The first claim rests on the idea that Kosovo is the first subfederal unit of
any of the communist federations which is considered for international
recognition. The essence of the precedential value of the case in question is
that Kosovo’s independence will create a universal standard that has to be
applied to other entities of the same kind;
2. The second claim is expressed by reference to the analogy. According to
this demand, post-Soviet de facto states are similar to Kosovo, as they, like
the entity in question, were subjected to violence and have fought defensive
wars for independence;
3. The third assertion of the post-Soviet de facto states denotes that they
have a better entitlement to statehood than Kosovo;
4. According to the fourth claim, if Kosovo secures independence, it is not
only because it has earned that independence but it will also bring peace;
5. The fifth claim implies the assertion that post-Soviet de facto states have
already created statehood;
6. According to the sixth claim, whatever happens to Kosovo, it is not the
definitive model for the status of the post-Soviet de facto states. Thus, on
the basis of such an approach, respective elites can keep all options open by
using broad terminology with regard to the status they seek.790
Furthermore, at the press conference for the Russian and foreign media, the
then President of Russia, Vladimir Putin, referring to the Kosovo problem,
noted: “If someone thinks that Kosovo can be granted full independence as
a state, then why should the Abkhaz or the South-Ossetian peoples not also
have the right to statehood?”791. Bearing in mind these considerations and
the war fought on the Georgian soil in August 2008 between the Russian
and the Georgian military forces (involving South Ossetia and Abkhazia), it
cannot be asserted that non-independent Kosovo would represent a threat to
790 R. Fawn, The Kosovo – and Montenegro – effect, in: International Affairs, Vol. 84, 2008, pp. 280-283 791 President of Russia, Transcript of the Press Conference for the Russian and Foreign Media, January 31, 2006, Circular Hall, The Kremlin, Moscow, available on the official web portal of the President of Russia, at: http://www.kremlin.ru/eng/ [accessed: 12.01.2009]
218
the international peace and security of such a degree that would outweigh
disruptive consequences of reactions to Kosovo’s independence. Hence, if
we accept that Kosovo’s independence is a result achieved solely on the
basis of the UN Security Council legislation, it becomes evident that such
independence would be illegal because it would be disproportionate to the
aim of maintaining international peace and security, the latter representing
the legal framework of the Security Council’s legislative capacity.
7.2.10 The “Republic of Kosovo” – uniqueness of the de facto state
The sui generis nature of the Kosovo case is that it denotes a kind of
mixture of the Security Council’s activity and the operation of the right of
peoples to self-determination. The Kosovo Albanians made the UDI and, in
doing so, they put into action their secessionist bid. What happened in
Kosovo was an act of unilateral remedial secession. It does not mean that
secession was an inevitable outcome in each and every single constellation,
there could be various scenarios in this respect, for example, negotiated
divorce or negotiated autonomous status. But parties to the conflict were
unable to achieve an agreement, so the Kosovo Albanians acted unilaterally
when they declared independence, it was the realization of unilateral
remedial secession the requirements of which were met. The Kosovo
Albanians, while representing a numerical minority in relation to the rest of
the population of a “mother state”, formed an overwhelming majority in the
identifiable part of the territory of Kosovo792 and they had previously
suffered grievous wrongs at the hand of the “parent state”.
It is true that Serbia of Vojislav Koštunica was not that of Milošević793 but
the legitimacy of the secessionist claim has to be assessed by reference to
the period when Milošević misgoverned Kosovo. That state of things
resulted in the “ethnic cleansing” campaign waged against the Kosovo
792 See J. Reuter, Die Entstehung des Kosovo-Problems, in: Aus Politik und Zeitgeschichte, Beilage zur Wochenzeitung Das Parlament, B 34/99, 1999, p. 3 793 See M. Goodwin, From Province to Protectorate to State? Speculation on the Impact of Kosovo’s Genesis upon the Doctrines of International Law, in: German Law Journal, Vol. 8, 2007, p. 6
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Albanians and the forcible expulsion from their homes.794 The Kosovo
Albanians were deprived of their right to internal self-determination and
serious and widespread violations of the fundamental human rights took
place. Thus, those events have to be regarded as a kind of “critical date”
denoting the existence of a certain period of time which determines the
validity of the claim to external self-determination.
The special feature of the Kosovo case is that the international community
de facto suspended the FRY’s sovereignty over the territory in question (the
FRY was still a de jure sovereign) and, after a certain period of time, Serbia
faced the fact that in declaring its independence, Kosovo transformed its
internal self-determination into the external one, it was an act of secession.
It was the act of secession from Serbia because, according to the Resolution
1244 (1999) which represented the legal basis of Kosovo’s international
administration, the FRY retained the de jure sovereignty over Kosovo, it
was still a “mother state”. The sui generis legal status of Kosovo rests on the
legislative activity of the UN Security Council which “sidelined” Serbia and
backed the Kosovo Albanians in converting an internal dimension of the
right of peoples to self-determination into the external one. The legal basis
of that transformation was the notion of unilateral remedial secession.
If we apply the “substantive recognition test” to the case of Kosovo, it
becomes evident that Kosovo represents the de facto state. The “Republic of
Kosovo” has been recognized by three permanent members of the UN
Security Council and some other major powers of the day (for the time
being, i.e. June 2009, the total number of recognitions accorded to Kosovo
is 60).795 Serbia, the “mother state”, has not recognized the entity in
question and, as it has already been demonstrated in the present study, it
cannot be said that there were no objections from Serbia with regard to the
recognition of Kosovo’s secession. Of four neighbouring countries with
which it shares borders, the “Republic of Kosovo” is recognized by Albania,
Macedonia and Montenegro, only Serbia does not recognize Kosovo as an 794 See E. Rosand, The Kosovo Crisis: Implications of the Right to Return, in: Berkeley Journal of International Law, Vol. 18, 2000, p. 231 795 Information available on the official website of the Ministry of Foreign Affairs of the Republic of Kosovo, at: http://www.ks-gov.net/MPJ/Njohjet/tabid/93/Default.aspx [accessed: 29.06.2009]
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independent state.796 The “Republic of Kosovo” was admitted to the
membership of the International Monetary Fund and the World Bank.797
796 See Ibid. 797 See the Statement by the Foreign Minister of the Republic of Kosovo H.E. Skender Hyseni to the United Nations Security Council, New York, 17 June 2009, available on the official website of the Ministry of Foreign Affairs of the Republic of Kosovo, at: http://www.ks-gov.net/MPJ/Ministry/Minister/Speeches/tabid/149/ItemId/231/Default.aspx [accessed: 29.06.2009]
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Chapter 8: The “Republic of Abkhazia”
8.1 Political context
8.1.1 History: from antiquity to the Soviet rule
The history of Abkhazia can be traced back to antiquity. In the first
millennium BC the territory in question was part of the kingdom of Colchis
and during the fourth through to the sixth century AD Abkhazia was
subjected to the control of Byzantium.798 The kingdom of Abkhazia
(including all of western Georgia) was established by Leon II in the eighth
century and the Kingdom of the Abkhazians and the Kartvelians emerged by
the late 970s as the origin of the Georgian Kingdom, the latter having the
peak of its golden age during the reign of Queen Tamar (1184-1213).799
After the decline of the feudal Georgia, Abkhazia acquired the status of a
principality and in 1810 it officially became a protectorate of Tsarist Russia,
which abolished the Abkhazian princedom in 1864 and replaced it with the
Sukhumi District.800 It has to be noted that the local population put up
resistance to the tsarist rule but, as respective Abkhazian rebellions were
crushed by Russia, a great bulk of the ethnic Abkhaz population was forced
to leave Abkhazia for Turkey in the 1870s.801 This process is commonly
known as “Mohajirstvo”.
After the collapse of the Russian Empire, in 1918 Abkhazia became part of
the newly emerged Georgian Democratic Republic which was recognized
by certain Western powers and Communist Russia. On the basis of the 1921
Georgian Constitution Abkhazia enjoyed autonomous status within the
borders of the republic.802 This state of things was soon altered as in 1921
the Red Army invaded Georgia and, after ousting the Georgian government
798 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 8 799 E. Mihalkanin, The Abkhazians: A national minority in their own homeland, in: T. Bahcheli et al. (eds.), De Facto States, The quest for sovereignty, London / New York, 2004, p. 144 800 Ibid. 801 Ibid. 802 G. Nodia, Georgian perspectives, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999, p. 20
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(the Mensheviks) from power, declared the Soviet rule in the country. Thus,
the short-lived independent Georgian republic ceased its existence.
This situation had its own impact on the status of Abkhazia. The Abkhazian
Soviet Socialist Republic was created together with the Georgian one. The
Special Union Treaty was signed between the Georgian SSR and the
Abkhaz SSR on 16 December 1921.803 In 1922 these political entities
entered the Transcaucasian Socialist Federative Soviet Republic (TSFSR)
and in 1925 Abkhazia promulgated the constitution sanctioning its status as
a union republic with treaty ties to Georgia.804 Thus, Abkhazia’s 1925
constitution reiterated that the entity in question was united with the
Georgian SSR on the basis of the special union treaty.805 An earlier
reference in the 1924 Constitution of the Soviet Union to Abkhazia, as an
autonomous republic within Georgia, was effectively endorsed in 1931,
when Abkhazia was transformed into an Autonomous Soviet Socialist
Republic within the Georgian SSR.806
Subsequent years of the Soviet rule are marked with widespread oppressive
measures and harsh campaigns against certain groups throughout the Soviet
Union. In 1937, as a consequence of measures directed by the then head of
the Georgian Communist Party, Lavrenti Beria, and the policies of the late
1940s and early 1950s, the Abkhazians experienced a process they describe
as the “Georgianization of Abkhazia”: large numbers of non-Abkhaz were
forcibly removed from western Georgia and Russia to Abkhazia,
representation of the Abkhaz in local administration was restricted, Abkhaz
schools were closed and the Abkhaz language was banned, the Abkhaz
intellectuals and politicians were repressed.807 This period was followed in
1953 by the “rehabilitation” of the Abkhazians after the death of Stalin and
803 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, footnote 37, p. 4 804 See Chronology of events, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999, p. 81 805 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, footnote 37, p. 4 806 Chronology of events, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999, p. 81 807 Ibid.
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then Beria: a new script, based on Cyrillic, was introduced, the Abkhaz
schools were reopened, and administration was run again by the
Abkhazians, ethnic Abkhazians were over-represented in local offices as a
compensation for the repression.808
8.1.2 The Abkhaz and the Georgian political aspirations in the period of
the downfall of the USSR
In 1978, 130 Abkhaz intellectuals signed a letter, a request addressed to
Brezhnev, which was aimed at permitting Abkhazia to secede from Georgia
and join the RSFSR. The Abkhazian State University was opened in
response to that letter as a kind of “compensation” and other measures were
taken supporting the popularization of the Abkhaz culture. In 1988 another
appeal was made to the central Soviet authorities by 60 leading Abkhazians
in the so-called “Abkhaz Letter” requesting the restoration of Abkhazia’s
1921-1931 status.809 The State Program for the Georgian Language which
was adopted in 1989 caused a kind of precaution among the Abkhazians and
intellectuals and Communist party leaders formed the public movement
“Aydgylara” (the National Forum) which organized mass rallies and
requested Moscow once again to restore the status enjoyed by Abkhazia
from 1921 till 1931.810
On 18 March 1989 a petition was signed at a mass meeting at Lykhny
(Abkhazia) insisting on the restoration of the pre-1931 status of the territory
in question. Georgian officials responded with the decision to open a branch
of the Tbilisi State University in Abkhazia’s capital Sukhumi.811 It has to be
noted at this point that not only the official reaction to the developments in
Abkhazia expressed the opposition to the demands mentioned above. The
Georgian population in Tbilisi responded to those aspirations with large
counter-demonstrations aimed at achieving Georgia’s own independence
808 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 9 809 Ibid., p. 10 810 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, p. 5 811 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 10
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from the USSR and putting an end to the ethnic discrimination by
minorities. On 9 April 1989 the peaceful mass demonstration in Tbilisi,
demanding Georgia’s independence from the USSR, was brutally crushed
down by the Soviet special forces in a massacre of “Bloody Sunday”.812
The Abkhazians protested against the decision of opening a branch of the
Tbilisi State University in Sukhumi and this dispute was followed by ethnic
clashes in Sukhumi and Ochamchire in July 1989 leaving over a dozen
dead.813 On 18 November 1989 the Supreme Council of the Georgian SSR
introduced following changes and amendments (among others) to the
Constitution (Basic Law) of the republic:
“Article 69. The Georgian SSR reserves the right to secede freely from the
USSR. This is a sacred and inviolable right.
Abolishment or restriction of the right of secession of the Georgian SSR
from the USSR under the decree of the Supreme organ of the USSR or
through other means is inadmissible.
From the moment of abolishment of the right of the Georgian SSR on
secession from the USSR the Georgian SSR shall be considered seceded
from the USSR.”814
Thus, it can be asserted that the “wind of change” blowing throughout the
USSR after the introduction of “glasnost” and “perestroika” affected the
structure of the Soviet Union. The passage of the document quoted above
confirms Georgia’s aspirations to restore its independence lost in 1921. This
assertion is also backed by the fact that the Supreme Council of the
Georgian SSR approved a special commission’s report, according to which,
Georgia’s union with the USSR was an annexation achieved through brutal
812 Georgien 1989-1993: Statistik wichtigster Ereignisse, in: Menschenrechte in der GUS-Republik Georgien 1994, Berichte-Dokumente-Schicksale, IGFM (Hrsg.), Verfasserin: W. Wahnsiedler, p. 4 813 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, p. 5 814 Law of the Soviet Socialist Republic of Georgia on Changes and Amendments to the Constitution (Basic Law) of the Georgian SSR, 18 November 1989, (Article 69), available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/files/426_5647_883674_2.pdf [accessed: 07.02.2009]
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military force and occupation.815 As a “response” to this state of affairs, on
25 August 1990, the Abkhaz Supreme Soviet adopted a declaration on the
State Sovereignty of the Soviet Socialist Republic of Abkhazia which was
declared null and void by the Georgian legislature.816
Georgia’s independence from the Soviet Union, as an achievement, was
largely promoted by the national liberation movement which developed
gradually in the 1970s and gained its momentum in 1987. The most
prominent leaders of the movement were former dissidents Zviad
Gamsakhurdia (philologist, son of the eminent Georgian writer Konstantine
Gamsakhurdia) and Merab Kostava (writer and musicologist). On 28
October 1990 free parliamentary elections were held in Georgia.
Gamsakhurdia’s “Round Table – Free Georgia” bloc emerged victorious
with 67% of votes and the leader of the coalition was elected chairman of
the new Georgian Supreme Soviet.817
In December 1990 the historian Vladislav Ardzinba was elected chairman of
the Abkhaz Supreme Soviet.818 On 31 March 1991 a referendum was
conducted in Georgia, with a 90% turnout of eligible voters the
overwhelming majority of which, namely 99%, voted for Georgia’s
independence from the USSR.819 On 9 April 1991 the Georgian parliament,
chaired by Gamsakhurdia, proclaimed Georgia’s independence from the
Soviet Union and on 26 May 1991 Gamsakhurdia was elected president
with 87% of votes in the free presidential elections.820
The 17 March 1991 all-union referendum on the project of a Union Treaty,
suggested by Gorbachev, demonstrated the disagreement between the
Abkhazians and the Georgians concerning the future of the USSR. Georgia 815 E. Mihalkanin, The Abkhazians: A national minority in their own homeland, in: T. Bahcheli et al. (eds.), De Facto States, The quest for sovereignty, London / New York, 2004, p. 147 816 Ibid. 817 Georgien 1989-1993: Statistik wichtigster Ereignisse, in: Menschenrechte in der GUS-Republik Georgien 1994, Berichte-Dokumente-Schicksale, IGFM (Hrsg.), Verfasserin: W. Wahnsiedler, p. 4 818 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, p. 5 819 Georgien 1989-1993: Statistik wichtigster Ereignisse, in: Menschenrechte in der GUS-Republik Georgien 1994, Berichte-Dokumente-Schicksale, IGFM (Hrsg.), Verfasserin: W. Wahnsiedler, p. 4 820 Ibid.
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boycotted the vote, whereas Abkhazia’s non-Georgian population voted
overwhelmingly in favour of entering the proposed arrangement.821 Despite
this, Gamsakhurdia was able to compromise with the Abkhaz leadership
over the composition of the local parliament: of 65 parliament seats 28 were
to be allocated to the Abkhazians, 26 to the Georgians and 11 to other
nationalities. Furthermore, as an additional precautionary measure for
respective minority groups, certain decisions were to be reached only with a
qualified majority of 75% (this new system was implemented in December
1991).822
8.1.3 Gamsakhurdia’s overthrow and the Georgian-Abkhaz war of
1992-93
Gamsakhurdia’s presidency lasted for a short period of time. On 22
December 1991 the coup d’etat took place in Georgia and on 6 January
1992 the president and the parliament were ousted from power
(Gamsakhurdia was forced to go into exile in Chechnya).823 In February
1992 the provisional Georgian Military Council declared the reinstatement
of Georgia’s 1921 constitution.824
On 7 March 1992, Eduard Shevardnadze, former first secretary of the
Georgian Communist Party (1972-1985) and Soviet minister of foreign
affairs, returned to Tbilisi and assumed the position of a chairman of the
Georgian State Council which replaced the Military Council in April of the
same year.825 Two persons fulfilled the function of a deputy chairman
within that body: Tengiz Kitovani and Jaba Ioseliani. They were both
leaders of two main militias - the National Guard and the “Mkhedrioni”
821 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, pp. 10-11 822 Ibid., p. 11 823 Georgien 1989-1993: Statistik wichtigster Ereignisse, in: Menschenrechte in der GUS-Republik Georgien 1994, Berichte-Dokumente-Schicksale, IGFM (Hrsg.), Verfasserin: W. Wahnsiedler, p. 4 824 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, p. 5 825 J. Aves, Post-Soviet Transcaucasia, in: R. Allison (ed.), Challenges for the Former Soviet South, The Royal Institute of International Affairs, Russia and Eurasia Programme, Washington, D.C. / London, 1996, p. 168
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(Horsemen) respectively. It has to be noted that those warlords had played a
key role in the coup.
On 19 March 1992 Georgia was recognized by the EC and on 24 March
1992 Georgia became full member of the CSCE.826 The restoration of
Georgia’s 1921 constitution was met with certain precaution by the
Abkhazians and on 26 June 1992 Ardzinba sent a draft treaty to the
Georgian State Council providing for federative or confederative relations
between Tbilisi and Sukhumi. As it received no reply from the State Council
of Georgia, on 23 July 1992 the Abkhaz parliament reinstated its 1925
constitution, the Georgian legislature immediately annulled the latter
decision. 827
On 31 July 1992 Georgia became member of the UN.828 On 12 August 1992
the Abkhaz Supreme Soviet sent an appeal to Shevardnadze for negotiations
on future federative relations and delegation of powers and consultations
between senior Abkhaz and Georgian leaders followed.829 On 14 August
1992 Georgian armed forces, under the command of Tengiz Kitovani (who
was appointed by Shevardnadze Minister of Defense in May 1992), entered
the Gali region of Abkhazia, advanced towards Sukhumi and attacked
Abkhaz government buildings.830 Ardzinba’s government fled to Gudauta, a
town north-west of Sukhumi.
It is important at this point to clarify the circumstances surrounding the
deployment of the Georgian troops to the territory of Abkhazia. After the
overthrow of President Gamsakhurdia, the new government was resisted by
his supporters especially in Mingrelia, the region in western Georgia.
Forces loyal to the ousted president kidnapped Georgian senior officials in
summer 1992 and it was suspected that hostages were held in the Gali
826 Georgien 1989-1993: Statistik wichtigster Ereignisse, in: Menschenrechte in der GUS-Republik Georgien 1994, Berichte-Dokumente-Schicksale, IGFM (Hrsg.), Verfasserin: W. Wahnsiedler, p. 4 827 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 11 828 Information available on the official website of the UN, at: http://www.un.org/News/Press/docs/2006/org1469.doc.htm [accessed: 11.02.2009] 829T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, pp. 11-12 830 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, p. 5
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district, which bordered on Mingrelia. Furthermore, an ongoing sabotage
and looting on the railway line, connecting Georgia with Russia via the
territory of Abkhazia, was another problematic issue in the overall context.
Arguments of the parties with regard to the beginning of the war can be
described as follows: the Abkhazians contend that Shevardnadze was
directly involved in a planned operation to subdue the republic. The
Georgian argument concentrates on two aspects: a) the August operation
was the repeat of a similar successful operation carried out in April, in
consultation with the Abkhaz leadership, aimed at securing
communications; b) when Shevardnadze realized that the operation was
going wrong, he tried to withdraw Georgian forces but his efforts were
undermined by unilateral actions of Kitovani, who advanced to the Abkhaz
capital.831 Thus, it can be asserted that, according to the official Georgian
version, the troops entered Abkhazia in order to rescue government hostages
and secure the rail line to Russia.
From summer 1992 to summer 1993 Georgian armed forces controlled
much of Abkhazia, including Sukhumi.832 Three ceasefire agreements were
signed through the mediation of Russia on 3 September 1992, on 14 May
1993 and 27 July 1993.833 But the turning point in the war came within that
period of time. On 2-3 October 1992 the Abkhazians retook Gagra and later
launched three unsuccessful offensives to retake Sukhumi on 5 January, 16
March and 1 July 1993.834 The Abkhazians were supported by Russian
military units stationed in the area and volunteers from north Caucasian
republics of the Russian Federation (particularly Kabarda and Chechnya)
along with Cossacks. On 4 July 1993 the Confederation of Mountain
831 J. Aves, Post-Soviet Transcaucasia, in: R. Allison (ed.), Challenges for the Former Soviet South, The Royal Institute of International Affairs, Russia and Eurasia Programme, Washington, D.C. / London, 1996, p. 170 832 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, pp. 5-6 833 See footnote 54, in: Ibid. 834 E. Mihalkanin, The Abkhazians: A national minority in their own homeland, in: T. Bahcheli et al. (eds.), De Facto States, The quest for sovereignty, London / New York, 2004, pp. 148-149
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Peoples of the Caucasus (Confederation of the Peoples of the Caucasus
(CPC)) announced the mobilization of forces.835
As a result of the Gagra offensive (in which the Chechen volunteers led by
Shamil Basaev and advised by the Russian military intelligence officers
played a key role)836 the front-line was formed along the Gumista river,
north of Sukhumi. On 16 September 1993 the Abkhaz forces broke the
ceasefire agreed in Sochi on 27 July 1993, and providing for the phased
demilitarization of Abkhazia, and launched an all-front surprise offensive
from Gudauta with the support of North Caucasus volunteers.837 After
eleven days of fierce fighting they controlled almost the whole of Abkhazia,
with the exception of the upper gorge of the Kodori river (Sukhumi fell on
27 September 1993).838 Thus, the Abkhaz forces advanced to the
administrative border marked by the Inguri river “cleansing the republic of
ethnic Georgians in the process.”839
8.1.4 The post-war settlement and further developments
In October 1993 the insurgency of the supporters of ex-President
Gamsakhurdia resumed. Gamsakhurdia returned from exile in Chechnya
and the ousted parliament reconvened in Zugdidi (Mingrelia). The port of
Poti was captured and respective forces were on the brink of capturing
Kutaisi, an important regional center.840 Shevardnadze contacted Yeltsin
and agreed to join the CIS in return for the deployment of Russian forces in
western Georgia.841 On 9 October 1993 Shevardnadze submitted an
application for Georgia’s membership in the CIS and signed an agreement
835 J. Aves, Post-Soviet Transcaucasia, in: R. Allison (ed.), Challenges for the Former Soviet South, The Royal Institute of International Affairs, Russia and Eurasia Programme, Washington, D.C. / London, 1996, footnote 14, p. 171 836 See Ibid., footnote 15, p. 172 837 “When the Abkhazians resumed their offensive in September 1993 Grachev made it clear that Moscow was unwilling to do anything to prevent local Russian military commanders from supporting them.”, Ibid., p. 182 838 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, p. 6 839 J. Aves, Post-Soviet Transcaucasia, in: R. Allison (ed.), Challenges for the Former Soviet South, The Royal Institute of International Affairs, Russia and Eurasia Programme, Washington, D.C. / London, 1996, p. 172 840 Ibid. 841 Ibid., p. 182
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aimed at stationing the Russian troops in Georgia. On 11 December 1993
Georgia became full member of the CIS.842 In return, Russian troops were
deployed in western Georgia and they defeated insurgents.
On 14 May 1994 an “Agreement on a Ceasefire and Separation of Forces”
was signed in Moscow under UN auspices and with Russian facilitation.
This document provided for a ceasefire, separation of forces and the
deployment of the CIS peacekeeping force (CISPKF).843 The function of the
latter was to monitor the frontier between Abkhazia and the rest of Georgia,
which was divided into an inner “security zone” (where no Georgian or
Abkhaz military presence was permitted) and an outer “restricted zone” (in
which the deployment of heavy weapons was prohibited).844
It has to be noted that the Georgian government hoped that a multinational
peacekeeping force, under the auspices of the UN, could be deployed in
Abkhazia, but as no other countries were willing to contribute military
contingents, according to the agreement of May 1994, a purely Russian
force of 3,000 men was fielded.845 The United Nations Observer Mission in
Georgia (UNOMIG), established by the UN Security Council on the basis of
the Resolution 858 (1993)846, was also integrated into the framework of the
1994 Moscow Agreement which provides that:
“The peacekeeping force of the Commonwealth of Independent States and
the military observers, […] shall be deployed in the security zone to monitor
compliance with this Agreement;”847
842 Georgien 1989-1993: Statistik wichtigster Ereignisse, in: Menschenrechte in der GUS-Republik Georgien 1994, Berichte-Dokumente-Schicksale, IGFM (Hrsg.), Verfasserin: W. Wahnsiedler, p. 5 843 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, p. 6 844 Ibid. 845 J. Aves, Post-Soviet Transcaucasia, in: R. Allison (ed.), Challenges for the Former Soviet South, The Royal Institute of International Affairs, Russia and Eurasia Programme, Washington, D.C. / London, 1996, p. 182 846 UNSC Res. 858 (1993) of 24 August 1993, para. 2, available on the official website of the UN, at: http://www.un.org/Docs/scres/1993/scres93.htm [accessed: 15.02.2009] 847 Para. 2 (b) of the Agreement on a Ceasefire and Separation of Forces, signed in Moscow on 14 May 1994, Key texts, Documents relating to the Georgia-Abkhazia peace process, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999, p. 69
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It has to be noted at this point that in 1994 the UN Security Council
authorized the Secretary-General of the organization to increase the strength
of the UNOMIG up to 136 military observers with the civilian support staff
and determined full mandate of the observer mission.848 Thus, the UN
Security Council refused to grant the CIS (in fact Russian) peacekeeping
forces UN status, but accepted exclusive Russian participation in a
respective operation. The function of the UN military observers was reduced
to monitoring the situation and reporting back to the headquarters of the
world organization.849
The Geneva Peace Process chaired by the UN, facilitated by Russia and
including observers from the OSCE and the Group of Friends of the
Secretary-General (the latter created in 1993 and composed of
representatives of the US, Germany, Great Britain, France and Russia)850
emerged as an important forum for the dialogue between Tbilisi and
Sukhumi.851
In January 1995 Kitovani led a “peaceful” march on Abkhazia but before he
reached the security zone, the Georgian government security forces
intervened and interrupted his advancement. The accident was followed by
Kitovani’s arrest.852 In August 1997 Shevardnadze and Ardzinba met in
Tbilisi and the statement issued in connection with the meeting stressed
following:
“The parties have assumed an obligation not to resort to arms to resolve the
differences that divide them and not under any circumstances to permit a
renewal of bloodshed. Any differences of opinion will be resolved
848 UNSC Res. 937 (1994) of 21 July 1994, paras. 5, 6, available on the official website of the UN, at: http://www.un.org/Docs/scres/1994/scres94.htm [accessed: 17.02.2009] 849 G. Nodia, The Conflict in Abkhazia: National Projects and Political Circumstances, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 46 850 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, footnote 67, p. 7 851 Ibid., pp. 6-7 852 J. Aves, Post-Soviet Transcaucasia, in: R. Allison (ed.), Challenges for the Former Soviet South, The Royal Institute of International Affairs, Russia and Eurasia Programme, Washington, D.C. / London, 1996, p. 175
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exclusively by peaceful political means, through negotiations and
consultations […]”853
With respect to the overall situation, it can be asserted that no significant
progress has been achieved since the ceasefire agreement in the context of
the conflict resolution. According to Cohen, negotiations have oscillated
between dialogue and deadlock and subsequent exchanges of draft proposals
and counter-proposals have rarely been able to address the fundamental
issues separating the parties.854
The political approachment between Georgia and Russia had dire
consequences for Abkhazia: in 1995 the Russian Federation established a
naval and land blockade of Abkhazia, closed its borders with the latter and
refused to recognize the Abkhaz passports. Furthermore, in 1997 Russia cut
off all telephone lines connecting Abkhazia with the outside world.855
In 1996 Georgian guerillas formed the “White Legion” and another unit was
created later called “Forest Brothers”, the Georgian side accused
Abkhazians of oppressing the civil population in the region. On 18 May
1998 the Georgian guerillas attacked the Abkhaz militia killing
approximately 20. The Abkhaz counteroffensive against the Georgian
villages of the Gali district ended with casualties on both sides and the flight
of about 30.000 Georgian civilians which had returned to the region after
the 1992-1993 war.856
853 Statement on the Meeting between the Georgian and Abkhaz Parties (Tbilisi, 14 August 1997), in: Key texts, Documents relating to the Georgia-Abkhazia peace process, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999, p. 71 854 J. Cohen, Introduction: Trapped between war and peace, in: Ibid., p. 10 855 V. A. Chirikba, The Georgian-Abkhazian Conflict: In Search for Ways out, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 59 856 B. Coppieters, Westliche Sicherheitspolitik und der Konflikt zwischen Georgien und Abchasien, in: Berichte des Bundesinstituts für ostwissenschaftliche und internationale Studien, Bericht des BIOst Nr. 12/1999, p. 18
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8.1.5 Abkhazia’s declaration of independence and its aftermath
On 3 October 1999 a referendum was held in Abkhazia in which 97.7 % of
the voters (turnout: 87.6 % of the registered voters) approved the
Constitution adopted by the Supreme Council of the “Republic of
Abkhazia” on 26 November 1994. On 12 October 1999 the “Republic of
Abkhazia” (Apsny Ahntkarra) was proclaimed as an independent state.857
In December 2000 the visa regime was established by the Russian
Federation on the Russian-Georgian border, but the regime was not applied
to Russian borders with Abkhazia and South Ossetia.858 It has to be noted
that Georgian efforts to internationalize peacekeeping and negotiation
formats have persisted and in 2005 the parliament of Georgia enacted
legislation forcing the government to report on the performance of the
Russian peacekeepers, with a view of demanding their withdrawal in case of
continued bias in their operations.859
On 18 July 2006 the Georgian parliament passed a resolution in which the
legislative body stressed that it considered further continuation of the
peacekeeping operation by the armed forces of the Russian Federation in
Abkhazia and former Autonomous District of South Ossetia as inexpedient.
It called on the government of Georgia to launch necessary procedures to
immediately suspend the “so-called” peacekeeping operations in Abkhazia
and in former South Ossetian Autonomous District and to withdraw the
armed forces of the Russian Federation from the territory of Georgia.860
In July 2006, President Saakashvili announced that the Abkhaz government
in exile, which has functioned in Georgia proper since 1995, would be
857 See Act of State Independence of the Republic of Abkhazia (12 October 1999), available on the website of the Unrepresented Nations and Peoples Organization (UNPO), at: http://www.unpo.org/content/view/705/236/ [accessed: 20.02. 2009] 858 D. Lynch, Separatist states and post-Soviet conflicts, in: International Affairs, Vol. 78, 2002, p. 846 859 S. E. Cornell / S. Frederick Starr, The Caucasus: A Challenge for Europe, Central Asia-Caucasus Institute & Silk Road Studies Program, Silk Road Paper, June 2006, p. 32 860 Resolution of the Parliament of Georgia N3483 on the Peacekeeping Forces Located on the Territory of Georgia (18 July 2006), preamble and para. 1, available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/index.php?lang_id=ENG&sec_id=98&info_id=13089 [accessed: 20.02.2009]
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moved to the Kodori Gorge.861 On 27 September 2006, the Georgian
leadership inaugurated the headquarters of the Abkhaz government in exile
(the “Government of the Autonomous Republic of Abkhazia”) in the
Tbilisi-controlled upper Kodori Gorge (designated as the “Upper
Abkhazia”). The first session of the Abkhaz government in exile in Upper
Abkhazia was held on the same day in the village of Chkhalta, the
headquarters of the Government of the Autonomous Republic of
Abkhazia.862
During the Russo-Georgian war in August 2008 over South Ossetia, the
Abkhaz forces took control of the upper Kodori Gorge on August 12. The
Abkhaz leader appointed his envoy in the upper Kodori Gorge on 3
September 2008, the latter also serving as head of the local administration
which has been installed in the village of Azhara.863 Thus, the Georgian side
lost the only part of Abkhazia being under Tbilisi’s control. Another
consequence of the five-day war was that, on 26 August 2008, the Russian
president signed decrees on the recognition of Abkhazia’s and South
Ossetia’s independence and the establishment of diplomatic relations with
them.864
8.2 International legal context
8.2.1 The Soviet nationalities policy and the “matrioshka-type”
federalism of the USSR
Abkhazia’s status and the aspirations of respective elites cannot be clarified
without reference to the very essence of the Soviet system, the structure of
the USSR. The conflict in question has to be described as the one having its
source in the cumulation of ethnicity and politics, i.e. “ethno-politisch in
861 Abkhazia Today (15 September 2006), International Crisis Group, Europe Report № 176, pp. 20-21 862 Tbilisi Turns Kodori into ‘Temporary Administrative Center’ of Abkhazia [27 September 2006], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=13654&search= [accessed: 21.02.2009] 863 Sokhumi Sets Up Abkhaz Administration in Kodori [3 September 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=19389&search= [accessed: 21.02.2009] 864 Information available on the official web portal of the President of Russia, at: http://www.kremlin.ru/eng/text/news/2008/08/205754.shtml [accessed: 21.02.2009]
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dem Sinne, dass politisierte ethnische Kriterien bei der Identifikation der
Konfliktparteien die Schlüsselrolle spielen.”865 The combination of ethnic
and political factors was a product of the Soviet nationalities policy which
implied the demarcation of territorial administrative units on the basis of
titular nationalities and their homelands.866
As a result of the policy maintained by Stalin, nationality was territorialized
and politicized, ethnic identity and territory were made bases for the access
to power and services, asymmetrical power relationships were created
among republics aimed at directing ethnic antagonism toward non-Russians
and away from the dominant Russian community at the center.867 The
complex character of the USSR encompassed following “levels” of
territorial units: the Soviet Socialist Union Republic (SSR), the Autonomous
Soviet Socialist Republic (ASSR), the Autonomous Province and the
Autonomous Area (Autonomous Oblast - AO).868 It has to be noted that
each of these levels reflected a different degree of autonomy and distinct
institutional resources: the highest in rank were the union republics,
subordinate only to the central Soviet authorities, and possessing the fullest
set of institutions, next in the rank were the autonomous republics,
constituent parts of respective union republics, they were followed by the
AOs usually (though not always) subordinate to a territory which was, in
turn, subordinate to a union republic.869 This system has been described as
the “matrioshka-type” federalism of the Soviet Union.870
865 U. Halbach, Erdöl und Identität im Kaukasus, in: Friedrich-Ebert-Stiftung (Hrsg.), IPG I/ 2003, p. 145 866 S. Demetriou, Politics from the Barrel of a Gun: Small Arms Proliferation and Conflict in the Republic of Georgia (1989-2001), in: Small Arms Survey, Occasional Paper No. 6, November 2002, p. 3 867 P. A. Goble, Coping with the Nagorno-Karabakh Crisis, in: The Fletcher Forum of World Affairs, Vol. 16, 1992, p. 20 868 See Chapters IX, X and XI of the Constitution (Fundamental Law) of the Union of Soviet Socialist Republics of 7 October 1977, in: W. B. Simons (ed.), The Constitutions of the Communist World, Alphen aan den Rijn et al., 1980, pp. 370-372 869 H. E. Hale, The Parade of Sovereignties: Testing Theories of Secession in the Soviet Setting, in: British Journal of Political Science, Vol. 30, 2000, p. 48 870 See B. Coppieters, Ethno-Federalism and Civic State-Building Policies: Perspectives on the Georgian-Abkhaz Conflict, in: Regional & Federal Studies, Vol. 11, 2001, p. 69
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The structure of the USSR, based on the “politicisation and securitisation of
ethnicity”871, implied that respective nationalities had a right to varying
degrees of internal self-determination.872 Furthermore, the process of
“korenizatsia”, or indigenization, created double loyalties where the local
elites were tied both to the Soviet centre and to their regional
constituencies.873 The politicisation of ethnicity meant that the
administration of the USSR was decentralized according to the asymmetric
model of self-governance under the general direction of the Communist
Party, and the support for national state-building at the federal level was
combined with the repression against nationalist threats.874 The hallmark of
the Soviet ethno-federal system was that the politicisation of ethnicity took
place in an institutional framework in which the political questions could
only be addressed when they became security concerns. So, in any other
case, political issues were either securitised or not addressed at all (security
denoted in this context the strengthening of party and state institutions).875
As the process of the dissolution of the USSR gained momentum, the
combination of the two factors mentioned above, namely the politicization
of ethnicity and the securitization of the political agenda, caused dramatic
consequences. The Soviet policy of “ethnic pacification”, implying a certain
form of political participation of regional elites, turned meaningless: once a
certain form of democratization took place, established political privileges
of the titular nations were challenged by ethnic minorities.876
Thus, it has been correctly stressed that institutionalized legacies of the
Soviet nationalities policy engendered bitter ethnic tensions and political
fragmentation within Georgia, because aspirations of the republic denoting
the attainment of independence were viewed by the non-Georgian
population as a sign of oppressive political control. Those aspirations were
871 B. Coppieters, The Politicisation and Securitisation of Ethnicity: The Case of the Southern Caucasus, in: Civil Wars, Vol. 4, 2001, p. 79 872 Ibid. 873 Ibid., p. 80 874 Ibid. 875 Ibid. 876 Ibid., p. 81
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countered by the Abkhaz ASSR and the South Ossetian AO with demands
for greater autonomy within the Soviet federal framework.877
It has to be noted that “a built-in territorialisation of ethnicity”878 was a
hallmark of a relatively small Georgian SSR, and while not formally a
federation, it had a complex national-administrative structure under the
Soviet regime.879 According to Starovoitova, this ethno-territorial
arrangement was characteristic of the Communist regime’s efforts aimed at
creating artificial sources of interethnic tension that it could exploit in a
classic divide et impera fashion.880 In the specific Georgian case the ethnic
card was played in a manner that respective autonomous territories
encompassed sizable portions of historically Georgian lands and nationally
conscious Georgians viewed them as a threat to the survival of the Georgian
nation.881
It has to be stressed at this stage that the concept of autonomy has to be
approached with a certain degree of precaution, especially in the Soviet
setting, in which decisions concerning territorial issues were guided by
ambiguous considerations of the central ruling elite and sometimes appeared
to be very dubious in practice. The best example confirming this latter
assertion is that of Nagorno-Karabakh: on 4 July 1921 the Caucasian Bureau
(Kavburo) of the Russian Communist Party’s Central Committee voted for
the inclusion of Nagorno-Karabakh in Armenia, but the next day, the
decision was revised by a new session of the Kavburo and the territory in
question was incorporated into Azerbaijan. Thus, Nagorno-Karabakh was
granted territorial autonomy within Azerbaijan and a respective resolution
was implemented in 1923 with the creation of the Nagorno-Karabakh
Autonomous Region (NKAO).882 Bearing this in mind, it has to be asserted
877 S. Demetriou, Politics from the Barrel of a Gun: Small Arms Proliferation and Conflict in the Republic of Georgia (1989-2001), in: Small Arms Survey, Occasional Paper No. 6, November 2002, p. 4 878 J. Hughes, Chechnya: The Causes of a Protracted Post-Soviet Conflict, in: Civil Wars, Vol. 4, 2001, p. 16 879 G. Starovoitova, Sovereignty After Empire, Self-Determination Movements in the Former Soviet Union, United States Institute of Peace, Peaceworks No. 19, 1997, p. 15 880 Ibid., p. 16 881 Ibid. 882 Ibid., p. 23
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that the decisions regarding territorial questions were made quite arbitrarily
by the communist leaders.
The politicisation and securitisation of ethnicity within the Soviet Union
resulted in the emergence of the official ideology, according to which, the
peoples and ethnic groups living on the territory of the empire were
“destined” to live in peace together and the possibility that ethnic conflicts
could occur between “brothers” was excluded. If one follows this logic, it
becomes evident that, in the case of Nagorno-Karabakh, it was this
“brotherhood” of the Soviet people that officially determined the attitude of
respective elites: there was no problem on the ideological plane in arbitrary
alteration of the status of the territory, its belonging to one state or another,
because both nations were Soviet “brothers” and they would somehow cope
with the question, there could be no problem between Armenia and
Azerbaijan. The disintegration of the USSR confirmed that the calculation,
or the idea described above, was false and misleading.
Besides the official ideological considerations, there were also practical
implications in the creation of the autonomous territorial units within the
union republics. They served as excellent instruments for the furtherance of
the “divide and rule” policy, as the central government was able to control
and direct aspirations of the union republics by playing the ethnicity card.
The practical result of the Soviet policies in the Caucasus was that, by
defining everything in terms of ethnic groups, the central government
broadened all conflicts, including those at the communal level, to national
ones and by linking ethnicity to territory, transformed all ethnic conflicts
into territorial ones.883 This state of affairs effectively contributed to the
emergence of the situation in which the notion of autonomy assumed the
role of a “first step towards secession”884 from the former union republics of
the USSR, after the dissolution of the latter. Indeed, the myth of the
politicized and secure ethnicity exploded with the initiation by Gorbachev
883 P. A. Goble, Coping with the Nagorno-Karabakh Crisis, in: The Fletcher Forum of World Affairs, Vol. 16, 1992, p. 22 884 G. Welhengama, The Legitimacy of Minorities’ Claim for Autonomy through the Right to Self-Determination, in: Nordic Journal of international Law, Acta scandinavica juris gentium, Vol. 68, 1999, p. 420
239
of the campaign of “glasnost” and “perestroika”, the program of ideological
and political liberalization:
“As the process of reform gained momentum between 1988 and 1991, it
unleashed a growing tide of national self-assertion in which the tension
between the formal rhetoric of republic sovereignty and the reality of a
highly centralized state produced growing pressures to give substance to the
claim.”885
Thus, as a result of these developments, the union republics were
proclaimed sovereign independent states but as the Soviet federalism was a
“matrioshka-type” one, the wind of change blowing through the empire
affected all levels of the territorial units within respective union republics.
The situation was aggravated by Yeltsin’s attitude which caused the process
described as the “parade of sovereignties”.
8.2.2 The “national question” in the USSR
The construction of the Russian doll, as a model, is also applicable to the
management of ethnic tensions within the USSR. According to Suny, three
distinct forms of nationalism emerged in the 1960s and 1970s,
encompassing different levels of political units within the Soviet Union:
1) “Official nationalism”, or “patriotism” (as defined by the Soviet
authorities), became a permissible form of expression during the more
laissez-faire period of the 1950s and 1960s, but was controlled by the
central government in order to avoid the strengthening of local nationalism
which could lead to the political separation. In 1969-74 a renewed emphasis
was made on the need to attach the priority to the Russian language and to
curb what Shevardnadze described as “national narrow-mindedness and
isolation”.886
885 G. W. Lapidus, Contested Sovereignty: The Tragedy of Chechnya, in: International Security, Vol. 23, 1998, p. 5 886 R. G. Suny, On the Road to Independence: Cultural Cohesion and Ethnic Revival in a Multinational Society, in: R. G. Suny (ed.), Transcaucasia, Nationalism, and Social Change, Essays in the History of Armenia, Azerbaijan, and Georgia, Revised Edition, Michigan UP, 1996, pp. 391-392
240
2) Dissident or “unorthodox nationalism” was furthered by intellectuals who
formed human rights organizations. Various Helsinki Watch Committees
addressed the issues connected with the violations of national rights within
the USSR. In 1974 Georgian intellectuals (Zviad Gamsakhurdia, Merab
Kostava and Viktor Rtskhiladze) formed the Initiative Group for the
Defense of Human Rights in Georgia. They later published the first
samizdat literary journal in Georgian “okros satsmisi” (Golden Fleece) and
then the political journal “sakartvelos moambe” (Georgia’s Herald). The
core group was transformed in 1977 into the Group for the Implementation
of the Helsinki Accords.887 These developments played an important role in
the context of the emergence of the Georgian national liberation movement
which led the republic to the proclamation of independence in 1991.
3) The “counternationalism” of the minorities within republics was based on
the assertion of discrimination by respective ethnic majorities. Thus, in
contrast to the official nationalism (which was the legally sanctioned
expression of the national majority in each republic) and the unorthodox
nationalism (which represented an attempt to extend the bounds of national
expression beyond the tolerance of central Soviet authorities), this third
form of nationalism concentrated on the perception of frustrations and
discrimination suffered by ethnic minorities within the union republics.888
It has to be noted that the manifestations described above had their own
impact on the development of secessionist conflicts in the Soviet Union and
the latter problem will be addressed below.
8.2.3 The constitutional right of secession in the Soviet setting and its
limitations
The process of dissolution of the USSR made the issue of secession the
question of overwhelming importance. It has to be noted that the Soviet
constitution provided for the right to secession which was assigned solely to
887 Ibid., p. 394 888 Ibid., p. 395
241
the union republics: “Each union republic retains the right freely to secede
from the USSR.”889
Thus, it has been emphasized in respect of the secessionist self-
determination in the Soviet setting that the Constitution of the USSR was
quite explicit about the rightholders to secession as, in addition to the norm
quoted above, according to Art. 76, a union republic was a sovereign state
united with other republics enjoying the same status. But autonomous
formations were not “sovereign”, and in respective provisions of the
Fundamental Law of the USSR they were described as being constituent
parts of union republics.890 It follows that the autonomous territorial entities
in Georgia enjoyed certain rights connected with their status but that status
did not imply the right to secession.891
Thus, it was Georgia, as the union republic, which could be regarded as an
eligible “self” for the purposes of secessionist self-determination in the
Soviet setting. The reason is that express constitutional self-determination
was applicable to the union republics which were very specifically
nominated in the constitution as full federal republics, and Georgia was a
former sovereign entity which retained at least the seeds of original
sovereignty.892
At the same time, it was extremely difficult to realize this right in practice.
At the theoretical level the problem was that other articles of the document
largely contravened the right in question.893 When the Baltic republics
declared their will to revive full sovereignty and acquire the status of
independent states in 1989-1990, this aspiration was met with fierce
resistance by Moscow. The response of the central government concentrated
in the legal context on Art. 78 of the constitution, according to which, the
889 Article 72 of the Constitution (Fundamental Law) of the Union of Soviet Socialist Republics of 7 October 1977, in: W. B. Simons (ed.), The Constitutions of the Communist World, Alphen aan den Rijn et al., 1980, p. 369 890 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 39 891 J. Radoman, Future Kosovo Status-Precedent or Universal Solution, in: Western Balkans Security Observer-English Edition, Issue no. 3, 2006, p. 15 892 M. Weller, The Self-determination Trap, in: Ethnopolitics, Vol. 4, 2005, p. 20 893 G. Starovoitova, Sovereignty After Empire, Self-Determination Movements in the Former Soviet Union, United States Institute of Peace, Peaceworks No. 19, 1997, p. 13
242
alteration of boundaries between union republics required mutual agreement
of respective union republics and was subject to confirmation by the USSR:
“This interpretation would have rendered the unilateral right of secession
established in Article 72 meaningless, and a legal race developed on this
issue between the Baltic republics and Moscow.”894 It has to be noted at this
point that this notion of the “legal race” was characteristic of the
developments within the Soviet Union in the last years of its existence. Not
only the Baltic republics and Georgia were involved in that struggle, but
also the representatives of the “two centres” - the USSR and the RSFSR, i.e.
Gorbachev and Yeltsin respectively.
One considerable example of the process described above was the “Law on
Procedures for Resolving Questions Related to the Secession of Union
Republics from the USSR” brought into effect on 3 April 1990. Relevant
passage of the document in question, which provided for a lengthy interim
period of at least five years and left to the central Congress of the USSR
People’s Deputies the final saying in respect of giving effect to the will of
the population of the republic involved895, reads as follows:
“In a Union republic that has within it autonomous republics, autonomous
provinces and autonomous regions, the referendum shall be held separately
in each autonomous unit. The peoples of autonomous republics and
autonomous formations shall retain the right to decide independently the
question of staying in the USSR or in the seceding Union republic, as well
as to raise the question of their own legal state status.”896
This passage demonstrates that the empire tried to play the ethnic card and
the document quoted above was determined to serve as a kind of safeguard
against the secessionist aspirations of the constituent republics of the Soviet
Union. The centre tried to revive once again the divide et impera policy of
the “founding fathers” of the USSR aimed at utilizing the notion of
autonomy as a means of preserving the Union when needed. It can be
894 M. Weller, The Self-determination Trap, in: Ethnopolitics, Vol. 4, 2005, p. 17 895 Ibid. 896 Article 3 of the Law on Procedures for Resolving Questions Related to the Secession of Union Republics from the USSR of 3 April 1990, in: H. Hannum (ed.), Documents on Autonomy and Minority Rights, Dordrecht et al., 1993, p. 754
243
asserted that the enactment of 1990 was a sort of legal blackmail directed
towards the union republics, the essence of this tool was secession of the
autonomous units from seceding republics, i.e. double secession as an
expression of the “matrioshka-type” federalism.
The reason is the content of the enactment in question. According to Potier,
this legal act was an attempt to slow down the momentum of the secession
of the Baltic States but was later relevant to all union republics.897 This
author examined the wording of the provision quoted above, especially the
crucial phrase “as well as to raise the question of their own legal state
status” and following conclusion has been drawn in respect of the
secessionist self-determination of autonomous territorial units within the
Soviet republics:
“The entire raison d’etre of this Law and the Soviet Union, even at this late
stage, was centred around the means to maintain, intact, at all costs, the
Union. Thus, I cannot imagine that the Kremlin, having formulated such a
convoluted (to say the least) process of union republic secession, would
have, merely and simply, through this phrase, ‘permitted’ sub-union
republic entities to similarly secede ‘just like that’.”898
Indeed, the point here is that the preservation of the USSR was the issue in
question and the enactment of 3 April 1990 has to be considered exactly
from this perspective. The aim and “functioning” of the document has been
explained as follows: if we consider an option, according to which, the
union republic, containing autonomous territorial entities, had managed to
secede in compliance with the procedures of the law but respective
autonomous unit(s) had decided to stay in the union, it is quite possible that
Moscow would have upgraded the status of those autonomies to the union
republic status. Moreover, it has been stated that the autonomous entities
bordering the RSFSR, including Abkhazia and South Ossetia, would have
been incorporated within it, in order to counter separatist sentiments in the
North Caucasus.
897 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 40 898 Ibid., p. 41 (italics and emphases in original)
244
Thus, an inference has been drawn from the considerations mentioned above
that Art. 3 of the law on secession concretizes a right of autonomous entities
to raise or alter their constitutional status even, perhaps, to the union
republic level.899 It can be asserted that the enactment in question
represented a mechanism designed by the “centre” and aimed at preserving
the USSR.
It has to be noted at this point that subsequent developments initiated by the
same “centre” of the Soviet Union decisively contributed to the fall of the
latter. On 8 December 1991 the leaders of three Soviet republics – the
Republic of Belarus, the RSFSR and Ukraine (Shushkevich, Yeltsin and
Kravchuk respectively) agreed on the dissolution of the Soviet Union and
the establishment of the Commonwealth of Independent States (CIS). This
was the first important step towards creating a new geopolitical reality on
the huge territory of the USSR, followed by the signing on 21 December
1991 of the Alma-Ata Protocol to the agreement mentioned above by
representatives of all Soviet republics except Georgia and three Baltic
states.900 These developments contributed decisively to the dismemberment
and subsequent extinction of the USSR. On 25 December 1991 Gorbachev
resigned and the Soviet Union officially broke up.901
8.2.4 The documents adopted by the Abkhaz Supreme Soviet on 25
August 1990 and the issue of Abkhazia’s secession from Georgia
It has to be examined at this stage, whether the enactment of 3 April 1990
has altered the status of Abkhazia. As on 25 August 1990 the Abkhaz
Supreme Soviet, in the absence of its Georgian deputies, declared
Abkhazia’s sovereignty, it, at the same time, emphasized its willingness to
enter into negotiations with the Georgian authorities for the formation of a
federative framework which would preserve Georgia’s territorial
899 Ibid., pp. 40-41 900 Agreements Establishing the Commonwealth of Independent States [Done at Minsk, December 8, 1991, and done at Alma Ata, December 21, 1991], in: 31 ILM 138 (1992), pp. 142-147 901 Information available on the website of the BBC News, at: http://news.bbc.co.uk/onthisday/hi/years/1991/default.stm [accessed: 11.03.2009]
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integrity.902 The document in question was the declaration issued by the
Supreme Soviet of the Abkhaz ASSR, but in the text itself, reference to the
adjective “autonomous” was neglected and the organ issuing the document
was designated as the Supreme Soviet of the Abkhaz Soviet Socialist
Republic.903 The declaration stressed that the supreme legislative and
executive bodies of the Abkhaz SSR would suspend acts of the USSR and
the Georgian SSR violating the sovereignty of the Abkhaz SSR and
contravening its rights.904
It has to be emphasized at this point that, on the same day (i.e. 25 August
1990), the Abkhaz ASSR (this time, the adjective “autonomous” is present
in the designation of the territorial entity in question) passed a resolution on
“Legal Guarantees for Protection of Statehood of Abkhazia” which entails
following important clauses (among others): it has been decided to address
the Supreme Soviet of the USSR, in accordance with Art. 73 of the Soviet
constitution, on the issue of restoring the status of Abkhazia proclaimed on
31 March 1921. Accordingly, before the solution of the problem by the
Supreme Soviet of the USSR, it was agreed to preserve an arrangement
regulating relations between Abkhazia and Georgia, the arrangement which
existed in that period.
At the same time, the readiness has been expressed by the Abkhaz side to
conduct negotiations with Georgia aimed at regulating the relations between
them. This intention was accompanied by the statement, according to which,
in the case of conclusion of the new Union Treaty, Abkhazia, as one of the
republics which created the USSR in 1922, should participate in
negotiations, drafting and concluding the treaty in question as the subject of
902 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 10 903 Declaration on the State Sovereignty of the Abkhaz Soviet Socialist Republic of 25 August 1990 (in Russian), preamble, in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994, p. 479 904 Declaration on the State Sovereignty of the Abkhaz Soviet Socialist Republic of 25 August 1990, para. 7, in: Ibid., p. 480
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the Soviet Federation and on equal footing with other subjects of the
Union.905
It has to be stressed at this point that the documents adopted by the Abkhaz
Supreme Soviet on 25 August 1990 do not refer to the enactment of 3 April
1990 regulating the issue of secession in the USSR. Furthermore, not only
was the Abkhaz declaration abolished by the Presidium of the Supreme
Soviet of the Georgian SSR on the following day, but the Abkhaz Supreme
Soviet itself, rescinded the declaration on 31 August.906
The fact that Abkhazia’s status has not been altered on the basis of the
secession law of 3 April 1990 is confirmed by the compromise achieved in
1991 between the Georgian government of Gamsakhurdia and the Abkhaz
authorities. It has to be noted once again that the elections were held in
December 1991 for a new Abkhaz parliament exactly on this basis. Thus, it
has to be concluded that the documents of 25 August 1990 have not altered
Abkhazia’s status.
Moreover, such declarations of sovereignty were usual in the Soviet setting
in the period of “parade of sovereignties”: during September and October
1990, for example, some of Russia’s autonomous republics, autonomous
oblasts and national okrugs had already issued sovereignty declarations
(alongside certain autonomous entities situated in other union republics),
accompanied by unilateral upgrading of the status.907 This does not mean,
however, that respective entities effectively seceded from their “mother
states”. The latter assertion is also confirmed by the fact that even union
republics, which issued the declarations of sovereignty (for example, the
RSFSR on 12 June 1990 and Moldova on June 23 of the same year908,
Ukraine on 16 July 1990909), did not secede from the USSR.
905 Resolution of the Supreme Soviet of the Abkhaz ASSR of 25 August 1990 “On Legal Guarantees for Protection of Statehood of Abkhazia” (in Russian), paras. 4, 5, 6, in: Ibid., pp. 485-486 906 See Keesing’s Record of World Events, Vol. 36, 1990, p. 37665 907 Ibid., p. 37788 908 Ibid., p. 37539 909 “The declaration made no mention of the Ukraine’s right to secede from the Soviet Union, however, most speakers in the debate having rejected full independence as a goal.”, Ibid., p. 37617
247
It is true that the documents adopted by the Abkhaz Supreme Soviet on 25
August 1990 were aimed at upgrading Abkhazia’s status. As it was already
mentioned above, the resolution on “Legal Guarantees for Protection of
Statehood of Abkhazia” referred to Art. 73 of the USSR constitution. The
latter provision envisaged, among other constellations, the admission of new
republics into the USSR and the confirmation of changes of boundaries
between union republics.910
The resolution of 25 August 1990, aimed at unilateral upgrading of
Abkhazia’s status, contravened the constitution of the USSR. This latter
assertion is confirmed by the example of South Ossetia: as on 10 November
1989 the local parliament of the province made a decision on upgrading the
status of the autonomous oblast to the autonomous republic, this decision
has been regarded as violating the USSR constitution which contained the
exact enumeration of autonomous republics and autonomous oblasts in Art.
85 and the Art. 87.911 The same can be stressed in respect of the resolution
passed by the Abkhaz Supreme Soviet on 25 August 1990. The latter
document, if it envisaged unilateral upgrading of the status of the Abkhaz
ASSR to the union republic level, violated the USSR constitution, because
Art. 71 of the constitution contained the list of 15 republics enjoying such
status.912
Thus, it can be emphasized that the Abkhaz Supreme Soviet could not
unilaterally upgrade Abkhazia’s status under the Soviet law. Such an
alteration would also violate Art. 78 of the USSR constitution, according to
which, it was impossible to alter the territory of a union republic without its
consent.913 It is important at this point to note that, in accordance with
Art.82 of the Soviet constitution, an autonomous republic was part of a
910 See Article 73 (1), (2) of the Constitution (Fundamental Law) of the Union of Soviet Socialist Republics of 7 October 1977, in: W. B. Simons (ed.), The Constitutions of the Communist World, Alphen aan den Rijn et al., 1980, p. 369 911 O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, p. 441 912 See Article 71 of the Constitution (Fundamental Law) of the Union of Soviet Socialist Republics of 7 October 1977, in: W. B. Simons (ed.), The Constitutions of the Communist World, Alphen aan den Rijn et al., 1980, pp. 368-369 913 Article 78 of the Constitution (Fundamental Law) of the Union of Soviet Socialist Republics of 7 October 1977, in: Ibid., p. 371
248
union republic.914 Bearing in mind all the considerations mentioned above,
it has to be concluded that the documents adopted by the Abkhaz Supreme
Soviet on 25 August 1990 did not effect Abkhazia’s unilateral secession
from Georgia.
8.2.5 The issue of Abkhazia’s secession from Georgia in the context of
the all-union referendum of 17 March 1991
It is important at this stage to consider the question, whether the all-union
referendum on the preservation of the Soviet Union (17 March 1991), and
its results in Abkhazia, amounted to the secession of the latter from Georgia.
The issue of referendum is directly connected with an attempt by the central
government aimed at preserving the USSR on the basis of the new Union
Treaty.
It has to be stressed that the referendum itself, had no legal force, but was
designed as a test of popular support for the draft Union Treaty and the
question, whether the “Soviet people” considered it necessary to preserve
the USSR as a renewed federation of equal, sovereign republics, was a
summary of the first article of the draft.915 The latest draft of the treaty had
been approved by the Federation Council on March 6 but Georgia, Armenia,
Estonia, Latvia, Lithuania, and Moldova boycotted the meeting, whereas
Azerbaijan and two of the 20 autonomous republics refused to sign the final
version.916 Thus, six of the fifteen union republics officially boycotted the
referendum.
The voter turnout across the USSR was put at 80% (not including the vast
majority of the people of voting age in six republics boycotting the
referendum), 76. 4% of voters taking part voted “yes” and 21. 7% “no”, this
meaning that the “yes” vote was cast by just over 61% of registered electors
and around 56% of all Soviet citizens of voting age.917 Thus, Georgia
boycotted the referendum, whereas Abkhazia’s non-Georgian population 914 See Article 82 of the Constitution (Fundamental Law) of the Union of Soviet Socialist Republics of 7 October 1977, in: Ibid. 915 Keesing’s Record of World Events, Vol. 37, 1991, p. 38078 916 Ibid. 917 Ibid.
249
(turnout in the Abkhaz ASSR: 52. 3%)918 answered the question in the
affirmative.
In April 1991 Gorbachev and the leaders of nine union republics issued a
joint declaration after the negotiations held at “Novoye Ogarevo” (a
government dacha) in which they expressed agreement on following
important issues: a timetable has been set out for the signing of the new
Union Treaty, which was expected to be ready within three months; no later
than six months after the signature of the treaty in question, a new union
constitution would be promulgated followed by the elections to the
Congress of People’s Deputies.919 At the same time, the declaration made it
clear that the Union Treaty was only to be signed by the republics which
participated in the Novoye Ogarevo meeting, and the only specified penalty
for the republics which refused to participate and were not expected to sign
the treaty, was that they would be excluded from a new common economic
space.920
The third draft of the Union Treaty was sent for discussion to the USSR
Supreme Soviet and the Supreme Soviets of the republics at the end of June
1991 and on 24 July 1991 Gorbachev announced that the work on the draft
Union Treaty (with delegations from nine union republics) had been
completed.921 Gorbachev’s hope of signing the Union Treaty in time
suffered serious setbacks caused by following developments: on 27 June
1991 Ukraine postponed debating the treaty until September in order to
examine possible contradictions with Ukraine’s declaration of independence
of July 1990 and in further negotiations with the centre, the union republics
demanded more concessions, including the “guarantee that autonomous
republics would not be allowed to sign the Union Treaty independently – an
important clause for the Russian Federation which included 16 autonomous
republics.”922
918 Ibid., p. 38079 919 Ibid., p. 38129 920 Ibid. 921 Ibid., p. 38348 922 Ibid., p. 38349
250
The draft Union Treaty was debated in the USSR Supreme Soviet and
approved on 12 July 1991, after having been approved by eight of the nine
republican parliaments, i.e. except Ukraine. Gorbachev stated that the
document remained open for signature by the six republics which had
declared their independence from the USSR (Georgia, Armenia, Estonia,
Latvia, Lithuania and Moldova), whereas the presence at the negotiations of
Armenia’s leader, Levon Ter-Petrosyan, raised the possibility of signing the
Union Treaty by Armenia.923
The signing of the Union Treaty by the RSFSR, the Republic of Belarus,
Kazakhstan, Tajikistan and Uzbekistan was scheduled for 20 August 1991
but on the previous day, conservative politicians staged a coup and declared
that President Gorbachev had effectively been deposed.924 The takeover of
power by the “State Committee for the State of Emergency” lasted for only
three days and Gorbachev was reinstated as President on August 21.925
In November 1991 the agreement had been reached on forming the Union of
Sovereign States (which Gorbachev described as the union of “Confederal
Democratic States”) but seven republican delegations, which attended the
meeting on November 25, refused to initial the treaty and sent it back for
further discussion in the republican Supreme Soviets.926 One important
circumstance was Ukraine’s absence from the negotiations because of the
forthcoming referendum on independence and this circumstance made the
signing of the Union Treaty unlikely, and of little worth, if it were signed at
all.927
December 1991 was a month of dramatic changes throughout the USSR: on
1 December 1991 Ukraine’s wish for independence was confirmed in a
referendum held in the republic, on December 4 the USSR Soviet of the
Union (the lower house) approved the draft Union Treaty and on 6
December 1991 the Ukrainian Supreme Soviet decided not to ratify any
Union Treaty. It is important to note that a meeting between Gorbachev and
923 Ibid. 924 Ibid., p. 38368 925 Ibid. 926 Ibid., p. 38581 927 Ibid.
251
Yeltsin, on December 5, had concluded that a treaty would be meaningless
without Ukraine’s participation.928
As it has already been stated in the present thesis, on 8 December 1991 the
Slav republics (the RSFSR, the Republic of Belarus and Ukraine) declared
the USSR, as a subject of international law and as a geopolitical reality,
non-existent. On 21 December 1991 the USSR was effectively replaced by
the Commonwealth of Independent States (CIS) on the basis of the Alma-
Ata Protocol to the Agreement establishing the CIS.929 By 21 December
1991 the CIS was a grouping of 11 former union republics in a loose
alliance, without central governing bodies.930 The final seal to the
dissolution of the USSR was set by Gorbachev himself, as he resigned on 25
December 1991.
Bearing in mind the considerations and developments concerning the all-
union referendum on the preservation of the Soviet Union and an attempt to
save the Soviet state from collapse on the basis of the Union Treaty, it has to
be concluded that these manifestations did not amount to Abkhazia’s
secession from Georgia. A positive vote in the referendum by Abkhazia’s
non-Georgian population had no legal significance as the referendum, as
such, had no legal force. At the same time, the very essence of the
referendum, which was aimed at testing popular support for the draft Union
Treaty, lost its significance (together with this document) after respective
developments described above.
The Union Treaty which would preserve the USSR or the Union of
Sovereign States (the union of “Confederal Democratic States” in
Gorbachev’s wording), and would bind the union republics and confirm the
relationship between the centre and the republics, never came into force.
The Soviet Union collapsed and the CIS emerged, a loose grouping of
states. Georgia did not become a member of this loose Commonwealth at
the time of its establishment, Georgia acquired membership of the CIS in
928 Ibid., p. 38654 929 Agreements Establishing the Commonwealth of Independent States [Done at Minsk, December 8, 1991, and done at Alma Ata, December 21, 1991], in: 31 ILM 138 (1992), pp. 142-147 930 Keesing’s Record of World Events, Vol. 37, 1991, p. 38654
252
December 1993. Thus, it has to be concluded that the status of Abkhazia has
not been altered on the ground of the all-union referendum in combination
with the developments concerning the Union Treaty.
8.2.6 The resolution adopted by the Abkhaz Supreme Soviet on 23 July
1992 and the question of Abkhazia’s secession from Georgia
Further step of the Abkhaz leadership was made after the official dissolution
of the USSR, on 23 July 1992. It follows that the enactment of 3 April 1990,
regulating secession from the Soviet Union, was already irrelevant. On 23
July 1992 the Abkhaz Supreme Soviet passed another resolution, on the
basis of which, the Abkhaz ASSR’s 1978 Constitution was annulled and the
1925 Abkhaz SSR Constitution was restored (for the interim period before
the adoption of the new constitution).931 The 1925 constitution stipulated
Abkhazia’s status as a republic united with the Georgian SSR on the basis of
a special union-treaty, through which it enjoyed the membership of the
USSR, mediated by the membership in the Transcaucasian Socialist
Federative Soviet Republic (TSFSR).932 The constitution envisaged the
Abkhaz SSR’s state sovereignty and Abkhazia’s right to freely exit the
TSFSR and the USSR.933 The Georgian State Council declared on July 25
the reinstated Abkhaz constitution null and void.934
It has to be stressed that the resolution of 23 July 1992 did not represent an
act of secession of Abkhazia from Georgia. This assertion is confirmed by
the fact that the chairman of the Abkhaz Supreme Soviet, Vladislav
Ardzinba, denied that Abkhazia, by adopting the document in question, was
seceding from Georgia.935 Moreover, on 26 June 1992 Ardzinba sent a draft
treaty to the Georgian State Council “which would have provided for
931 Resolution of the Supreme Soviet of the Republic of Abkhazia “On Termination of the 1978 Constitution of the Abkhaz ASSR” (in Russian), 23 July 1992, paras. 1, 2, in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994, p. 489 932 Article 4 of the Constitution of the Soviet Socialist Republic of Abkhazia of 1925 (in Russian), in: Ibid., p. 490 933 Article 5 of the Constitution of the Soviet Socialist Republic of Abkhazia of 1925, in: Ibid. 934 See Keesing’s Record of World Events, Vol. 38, 1992, p. 39019 935 Ibid.
253
federative ⁄ confederative relations between Abkhazia and Georgia and the
maintenance of Georgia’s territorial integrity.”936 An appeal to
Shevardnadze, aimed at conducting negotiations on future federative
relations between Georgia and Abkhazia, was reiterated by the Abkhaz side
even on 12 August 1992.937
8.2.6 (i) Georgia’s steps towards independence and their legal
implications: assessment of the Soviet past
It is important at this stage to refer to the overall context and the
circumstances surrounding the reinstatement by the Abkhaz Supreme Soviet
of the 1925 Abkhaz constitution on 23 July 1992. This resolution was
passed in order to avoid the legal vacuum between Abkhazia and Georgia.
On 9 March 1990 the Presidium of the Supreme Council of the Georgian
SSR made a complex assessment of the establishment of Soviet power in
Georgia after the downfall of the Georgian Democratic Republic in 1921
and concluded following:
“[…] introduction of the Soviet troops into Georgia in February 1921 and
occupation of its territory amounted to, from legal point of view, sheer
military intervention and occupation aimed at toppling the then existing
political regime. From political point of view, these actions amounted to de
facto annexation of Georgia;”938
The document in question also entailed other important provisions: the fact
of occupation and de facto annexation of Georgia by the Soviet Russia has
been condemned as a violation of the Georgian-Russian Treaty of 7 May
1920 and an international crime; the Union Treaty concluded on 21 May
1921 between the Georgian SSR and the RSFSR, as well as the Union
Treaty of 12 March 1922 on creation of the Transcaucasian Socialist
936 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 11 937 Ibid., pp. 11-12 938 Decree issued at the 13th Extraordinary Session of the Supreme Council of the 11th Convocation of the Georgian SSR on Guarantees for Protection of State Sovereignty of Georgia, 9 March 1990, available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/files/1_918_906655_2.pdf [accessed: 22.03.2009]
254
Federative Soviet Republic, have been declared illegal and null and void;
the treaty creating the USSR (1922) has been qualified as unlawful in
relation to Georgia.939
On the basis of the treaty concluded by the first Georgian republic with the
Soviet Russia on 7 May 1920, the latter recognized sovereignty and
independence of Georgia on the ground of the right of peoples to self-
determination and assumed the obligation of non-interference in matters
being within Georgia’s domestic jurisdiction.940 This development was
preceded by the de facto recognition of Georgian and Azerbaijani
governments by the Supreme Council of the allied governments on 12
January 1920.941 More important was, of course, collective de jure
recognition of Georgia by the allied and associated Powers (represented in
the Supreme Council) in January 1921. On 27 January 1921 Georgia was
recognized de jure by Great Britain, France, Belgium, Italy and Japan at the
interallied conference in Paris.942 Before that, Georgia gained Argentinian
and German recognition on 13 and 24 September 1920 respectively.943
Following conclusion has been drawn in respect of the impact of the
Georgian-Russian Treaty of 7 May 1920, and the de jure recognition of
Georgia by the Allied Powers, on the status of the Transcaucasian republic:
“In der Tat mußte sich Rußland wegen der Unbeachtlichkeit der
Mentalreservation an dem im Vertrag vom 7. Mai 1920 ausgesprochenen
Souveränitätsverzicht gegenüber Georgien festhalten lassen und konnte
daher nicht geltend machen, daß es sich bei der de jure-Anerkennung durch
die Alliierten um eine völkerrechtswidrige Intervention zum Nachteil
Rußlands handelte.”944
According to Hillgruber, by the time of Georgia’s de jure recognition, it
became clear that the recognition of Georgia by the Soviet Russia itself, was
939 See Ibid. 940 C. Hillgruber, Die Aufnahme neuer Staaten in die Völkerrechtsgemeinschaft, Das völkerrechtliche Institut der Anerkennung von Neustaaten in der Praxis des 19. und 20. Jahrhunderts, in: H. Schiedermair (Hrsg.), Kölner Schriften zu Recht und Staat, Bd. 6, Frankfurt am Main et al., 1998, p. 272 941 Ibid., p. 271 942 Ibid., pp. 274-275 943 Ibid., footnote 32, p. 275 944 Ibid., p. 276 (italics in original)
255
not regarded by the latter as a serious matter, despite the fact of Russian
undertaking of contractual obligations in this regard and its affirmation of
the opposite: “Die de jure-Anerkennung erfolgte also zu einem Zeitpunkt,
als die Aktualisierung des in der bloßen de facto-Anerkennung angelegten
Vorbehalts zugunsten des Mutterlandes unmittelbar bevorstand.”945
Nevertheless, it has been emphasized that the decision to recognize Georgia,
even in the absence of military assistance requested by the Georgian
representatives and virtually bearing the significance of a mere political
demonstration, “verschaffte sie doch Georgien gegenüber den Alliierten
einen gesicherten völkerrechtlichen Status.”946
On 20 June 1990 the Georgian Supreme Soviet decreed following:
“[…] the Supreme Council of the Georgian SSR declares null and void all
those legal acts that abolished political and other institutions of the
Democratic Republic of Georgia and replaced them with other political and
legal institutions introduced through violence and external force […]”947
Moreover, as it has already been stated, in February 1992 the Georgian
Military Council reinstated Georgia’s 1921 constitution. The acts of the
Supreme Council of the Georgian SSR of 18 November 1989, 9 March and
20 June 1990, which were quoted in the present study, also the
reinstatement of the 1921 constitution by the Georgian Military Council in
February 1992, all these documents have been referred to in the preamble of
the resolution passed by the Abkhaz Supreme Soviet concerning the
abrogation of the 1978 constitution of the Abkhaz ASSR and the restoration
of the 1925 constitution of the Abkhaz SSR.948
945 Ibid., (italics in original) 946 Ibid. 947 Decree issued by the Supreme Council of the Georgian SSR on introduction of amendments to the decree issued by the Supreme Council of the Georgian SSR on March 9, 1990 “Guarantees for Protection of State Sovereignty of Georgia”, 20 June 1990, para. 1, available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/files/1_918_428220_3.pdf [accessed: 26.03.2009] 948 Resolution of the Supreme Soviet of the Republic of Abkhazia “On Termination of the 1978 Constitution of the Abkhaz ASSR” (in Russian), 23 July 1992, preamble, in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994, p. 488
256
It has been stressed in the document that Abkhazia’s 1978 constitution was
adopted in compliance with the 1978 constitution of the Georgian SSR and
the constitution of the USSR of 1977. After the termination of these two, the
Abkhaz constitution had been left without its legal basis and legal vacuum
had emerged in relations between Georgia and Abkhazia.949 It was exactly
the aim of the resolution of 23 July 1992 to overcome this problem but the
preamble of the document included also the aspiration for the
“reestablishment of state-to-state relations” between Abkhazia and
Georgia.950
8.2.6 (ii) Alteration of Abkhazia’s status on the basis of unilateral
actions of the Georgian leadership?
It has to be noted at this point that an argument has been offered, according
to which, the adoption by the Supreme Council of the Georgian SSR of the
documents mentioned above (decrees of 9 March and 20 June 1990
particularly), amounted to the liquidation of the legal basis of relations
between Abkhazia and Georgia.951 It has been asserted that by abrogating
the treaties regulating Georgia’s relations with its neighbors, and the
reinstatement of Georgia’s 1921 constitution, the Georgian leadership
severed all links with Abkhazia.952 This argument, if it implies that after the
developments mentioned, Abkhazia effectively seceded from Georgia, is
unsound, as it goes too far in creating a fragile legal fiction.
The enactments of the Supreme Council of the Georgian SSR represented
the legal and political assessment of the establishment of the Soviet rule in
Georgia, which was regarded as unlawful, and Georgia expressed its
willingness to severe links with the Soviet rule established in 1921 with the
Red Army’s invasion. The adoption of these documents was not aimed at
949 Ibid., pp. 488-489 950 See Ibid., p. 489 951 See T. M. Shamba / A. Y. Neproshin, Abxazia, Pravovye osnovy gosudarstvennosti i suvereniteta (Abkhazia, Legal Foundations of Statehood and Sovereignty), Izdanie 2-e, pererabotanno (2nd revised ed.), Moscow, 2004, pp. 158-160 952 Ibid., p. 160
257
regulating the specific issue of the status alteration of respective
autonomous territorial entities.
The spirit, in which the documents in question were adopted, can be
expressed by reference to the decree of the Supreme Council of the
Georgian SSR of 9 March 1990 in which it “seeks to abolish the dire
consequences for Georgia, brought about by Russia’s violation of the 7 May
1920 Treaty and restoration of those rights of Georgia, that had been
recognized by Russia by the virtue of the aforementioned Treaty.”953
Indeed, the restoration of the Georgian statehood, as such, was the issue in
question.
Furthermore, if we follow the logic of the argument mentioned above, it can
be said that if in 1990 Georgia severed links with Abkhazia on the basis of
the decrees in question, it similarly “restored” those links in February 1992
as the Georgian Military Council reinstated the 1921 constitution. The latter
referred to Abkhazia as an integral part of the Georgian republic enjoying
autonomy in the administration of its affairs954 and did not regard Abkhazia
as a republic with its own statehood.955 Thus, the permanent alteration of
Abkhazia’s status, on the basis of unilateral acts of the Georgian leadership
mentioned above, has to be rejected.
The point here is that Georgia was preparing for independence in 1989 and
onwards. Georgia had to make a comprehensive assessment of its Soviet
past, imposed on the country despite popular resistance. It is true that
theoretically, after the reinstatement of the 1921 constitution by the Military
Council, Georgia was governed according to this document, but the latter
bore no relationship to country’s current political reality and the process of
953 Decree issued at the 13th Extraordinary Session of the Supreme Council of the 11th Convocation of the Georgian SSR on Guarantees for Protection of State Sovereignty of Georgia, 9 March 1990, available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/files/1_918_906655_2.pdf [accessed: 28.03.2009] 954 See Article 107 of the Constitution of the Georgian Democratic Republic adopted by the Constituent Assembly on 21 February 1921, available on the website of the Regionalism Research Center, at: http://www.rrc.ge/law/konstG_1921_02_21_e.htm?lawid=108&lng_3=en [accessed: 28.03.2009] 955 G. Starovoitova, Sovereignty After Empire, Self-Determination Movements in the Former Soviet Union, United States Institute of Peace, Peaceworks No. 19, 1997, p. 18
258
drawing up a new constitution was initiated.956 Indeed, Gaul makes the
following statement in this respect: “In Georgien wurde schon einmal, im
Februar 1921, eine eigenständige Verfassung verabschiedet. An dieses
Dokument konnte man anknüpfen, […]”957. According to the same author,
the document in question was considered, at that time, as one of the most
progressive constitutions and it contained a chapter dedicated to the
protection of national minorities.958
It is another problematic issue that the very essence of the Georgian
Constitution of 24.08.1995, in the context of the administrative-territorial
arrangement and the accommodation of autonomous formations, did not
represent an attractive opportunity to the leaders of Abkhazia959 and South
Ossetia.960 The decisive point is that Abkhazia’s status was the question
subject to the negotiations between respective parties after Georgia attained
independence, and neither did the legal acts adopted by the Supreme
Council of the Georgian SSR on 18 November 1989 and on 9 March and 20
June 1990 amount to Abkhazia’s secession from Georgia, nor did the
reinstatement by the Georgian Military Council of the 1921 constitution in
February 1992 cause such a secession.
As the Abkhaz document, adopted on 23 July 1992, concerning the
termination of the 1978 constitution stresses, legal vacuum emerged
between Abkhazia and Georgia. This circumstance confirms that Abkhazia
did not secede from Georgia “just like that”, such attitude was assumed even
by the Abkhaz side. Furthermore, another confirmation is that Ardzinba,
commenting on the resolution of the Abkhaz Supreme Soviet, denied that
Abkhazia was seceding from Georgia. The draft treaty sent by him to the
Georgian State Council and an appeal to Shevardnadze concerning the need
for negotiations aimed at regulating the relations between Tbilisi and
956 J. Aves, Post-Soviet Transcaucasia, in: R. Allison (ed.), Challenges for the Former Soviet South, The Royal Institute of International Affairs, Russia and Eurasia Programme, Washington, D.C. / London, 1996, p. 174 957 W. Gaul, Neue Verfassungsstrukturen in Georgien, in: VRÜ 32, 1999, p. 49 958 Ibid. 959 See B. Coppieters, The Politicisation and Securitisation of Ethnicity: The Case of the Southern Caucasus, in: Civil Wars, Vol. 4, 2001, p. 76 960 O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, p. 448
259
Sukhumi, and the consultations just before the outbreak of hostilities, all
these developments corroborate an assertion that Abkhazia did not secede
from Georgia in that particular period.
8.2.6 (iii) Abkhazia’s secession from Georgia on the basis of the
resolution of 23 July 1992 has to be rejected
In sum, bearing in mind all the considerations concerning the resolution
passed by the Abkhaz Supreme Soviet on 23 July 1992, it has to be
concluded that the document in question did not effect Abkhazia’s secession
from Georgia. The fact that, by adopting certain constitutional acts in 1990-
1992, Abkhazia did not secede from Georgia, is confirmed by Chirikba as
he stresses that respective acts were aimed at protecting Abkhazia’s
autonomous status and the resolution passed by the Abkhaz Supreme Soviet
on 25 August 1990, together with analogous acts adopted by all other
former autonomous republics of the USSR, did not mean the separation of
the territory from the “mother state”.961 As in respect of the reinstatement by
the Abkhaz Supreme Soviet of the 1925 constitution on 23 July 1992, it has
been confirmed that this document represented an attempt to overcome a
constitutional vacuum between Abkhazia and Georgia.962
8.2.7 The issue of Abkhazia’s secession from Georgia in the context of
the notion of unilateral remedial secession
8.2.7 (i) General considerations
It follows that the question of the Abkhaz secessionist bid has to be
considered in the context of relations between the “mother state”, i.e.
Georgia and its autonomous republic. In the late 1980s and early 1990s this
relationship was loaded with the notion of ethnic nationalism as the latter
961 V. A. Chirikba, The Georgian-Abkhazian Conflict: In Search for Ways out, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 54 962 Ibid., p. 55
260
dominated the political discourse.963 Of course, those sentiments were
unleashed during the war of 1992-1993, which, as most other internal wars
of the 1990s, was mainly the result of an accumulation of protracted
conflicts since the 1950s (and from an earlier period).964
With respect to the pre-war ethnic composition of the autonomous republic,
it has to be noted that Abkhazians constituted 17.8% whereas Georgians
made up 45.6% of the republic.965 Before the military conflict, Abkhazia
had the population of 525.000 and, as a consequence of the war, 230.000 to
250.000 Georgians were expelled from the republic.966 According to Lynch,
the Georgians of Abkhazia “did not flee their homes as an indirect
consequence of the war: they were a target of the conflict.”967 The OSCE
has addressed the issue in its declarations from the summits in Budapest968,
Lisbon969 and Istanbul970 stressing that the ethnic cleansing of a
predominantly Georgian population took place.
Thus, as the Abkhaz Supreme Soviet adopted new constitution on 26
November 1994 declaring Abkhazia a sovereign republic and subject of
international law971, this step has to be considered in the context of
Abkhazia’s pre-war ethnic composition, also with reference to the war
fought by respective parties and the developments after the armed conflict.
963 J. Popjanevski, Minorities and the State in the South Caucasus: Assessing the Protection of National Minorities in Georgia and Azerbaijan, Central Asia-Caucasus Institute & Silk Road Studies Program, Silk Road Paper, September 2006, p. 27 964 See J. D. Fearon / D. D. Laitin, Ethnicity, Insurgency, and Civil War, in: American Political Science Review, Vol. 97, 2003, p. 88 965 B. Coppieters, Ethno-Federalism and Civic State-Building Policies: Perspectives on the Georgian-Abkhaz Conflict, in: Regional & Federal Studies, Vol. 11, 2001, p. 69 966 U. Halbach, Erdöl und Identität im Kaukasus, in: Friedrich-Ebert-Stiftung (Hrsg.), IPG I/ 2003, p. 151 967 D. Lynch, Separatist states and post-Soviet conflicts, in: International Affairs, Vol. 78, 2002, p. 838 968 CSCE Budapest Document 1994, corrected version 21 December 1994, Budapest Decisions, Regional Issues, Georgia, para. 2, available on the official website of the OSCE, at: http://www.osce.org/documents/mcs/1994/12/4048_en.pdf [accessed: 03.04.2009] 969 OSCE Lisbon Document 1996, DOC.S/1/96 (3 December 1996), Lisbon Summit Declaration, para. 20, available on the official website of the OSCE, at: http://www.osce.org/documents/mcs/1996/12/4049_en.pdf [accessed: 03.04.2009] 970 OSCE Istanbul Document 1999, January 2000/Corr., Istanbul Summit Declaration, para. 17, available on the official website of the OSCE, at: http://www.osce.org/documents/mcs/1999/11/4050_en.pdf [accessed: 03.04.2009] 971 See Declaration of the Supreme Soviet of the Republic of Abkhazia of 10 February 1994 (in Russian), footnote 1, in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994, p. 508
261
This is the “critical date” on the basis of which the assessment of the
Abkhaz secessionist claim should be made.
The correctness of this kind of attitude is confirmed by Coppieters as he
makes following statement with regard to the Georgian-Abkhaz conflict:
“Die Beschlüsse des UNO-Sicherheitsrats machten klar, daß die
internationale Gemeinschaft keine durch Gewalt herbeigeführte
Grenzveränderung oder Sezession anerkennen würde.”972 This citation bears
out the relevance of the 1992-1993 war to the issue of assessment of the
Abkhaz secessionist claim and demonstrates that it is impossible to evaluate
that claim exclusively in the post-war context. Such relevance is also
confirmed by the fact that the main result of the war was not just the defeat
of the Georgian troops, but the dramatic change in the ethno-demographic
balance in Abkhazia, the latter being regarded as an even more important
outcome.973
It has to be noted at this point that the ambiguity was left, as to whether on
26 November 1994 Abkhazia declared independence, because the Abkhaz
side proposed a union state with Georgia on the basis of equal
partnership.974 The constitution did not specify the form of relations
between Abkhazia and Georgia.975 On 3 October 1999 Abkhazia conducted
a referendum on independence as stipulated by the Constitution of the
“Republic of Abkhazia” and on 12 October 1999 President Ardzinba and the
People’s Assembly proclaimed Abkhazia’s independence.976 It is thus
evident that a fully-fledged secessionist attempt took place. But it is the flaw
972 B. Coppieters, Westliche Sicherheitspolitik und der Konflikt zwischen Georgien und Abchasien, in: Berichte des Bundesinstituts für ostwissenschaftliche und internationale Studien, Bericht des BIOst Nr. 12/1999, p. 4 973 G. Nodia, The Conflict in Abkhazia: National Projects and Political Circumstances, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 38 974 Chronology of events, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999, p. 84 975 V. A. Chirikba, The Georgian-Abkhazian Conflict: In Search for Ways out, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 55 976 E. Mihalkanin, The Abkhazians: A national minority in their own homeland, in: T. Bahcheli et al. (eds.), De Facto States, The quest for sovereignty, London / New York, 2004, p. 152
262
of the secessionist claim in question that the Abkhazians represented the
minority (in relation to Georgians) in Abkhazia itself. Thus, the requirement
inherent in the notion of unilateral remedial secession, denoting that
respective people should represent numerical majority within an identifiable
part of the territory of a “parent state” (i.e. the territory which it claims), was
not met.
8.2.7 (ii) Abkhazia and the issue of internal self-determination
As in respect of the representativeness of the central government and the
ability to conduct negotiations with Abkhaz leaders, it has to be stressed that
in a period, which, according to the theory of a critical date, has to be
considered while assessing the validity of a secessionist claim, ethnic
Abkhazians dominated the political life in the autonomous republic.
Enjoying the status of a titular nationality, the Abkhazians were in full
control over republican institutions despite their vast numerical
inferiority.977 In early summer 1992, a high-level Georgian delegation paid
an official visit to Abkhazia aimed at discussing the division of powers
between Tbilisi and Sukhumi, but no significant results were achieved
during negotiations.978 Moreover, the consultations between senior
Georgian and Abkhaz officials were ongoing even just before the outbreak
of hostilities.
On 24 June 1992 Col. Aleksandr Ankvab was appointed as Abkhaz Interior
Minister, ousting the ethnic Georgian Givi Lominadze, in defiance of a 1989
order which reserved to Georgia’s interior minister the power of appointing
interior ministers for Abkhazia.979 It is also true that after the overthrow of
President Gamsakhurdia, the new Georgian governing bodies showed little
977 “In addition to the quota of seats in the republican parliament reserved for ethnic Abkhaz, in practice, more than two-thirds of government ministers and local communist party department heads were also ethnic Abkhaz. Hence by forming alliances with segments of the Russian and Armenian populations, guaranteeing control over the parliament, the Abkhaz could dominate the political development of the republic and guide policy toward the central government in Tbilisi against the wishes of the Georgian plurality.”, S. E. Cornell, Autonomy as a Source of Conflict: Caucasian Conflicts in Theoretical Perspective, in: World Politics, A Quarterly Journal of International Relations, Vol. 54, 2002, pp. 264-265 978 Ibid., p. 264 979 Keesing’s Record of World Events, Vol. 38, 1992, p. 39019
263
interest in observing the enactment which reserved more places to ethnic
Abkhaz in the local parliament than to ethnic Georgians, the compromise
achieved by the ousted President of Georgia and the Abkhaz authorities.980
But the abrogation by the Abkhaz leadership of the agreement, according to
which, the two ethnic communities had to share the most important posts in
the executive branch981, demonstrates that Abkhazians made significant
steps limiting Georgian representation in the local government.
The point here is that, despite the criticism of the Georgian-Abkhaz
agreement reached by Gamsakhurdia, the Georgian authorities did not
officially assert that the agreement should not be honoured982, although it is
true that later, in 1994, the Georgian legislature abolished respective
enactment.983 The Abkhaz side, on the contrary, openly challenged the
Georgian-Abkhaz agreement as it forcibly removed the ethnic Georgian
Minister of the Interior and the ethnic Abkhaz faction ignored the ethnic
Georgian faction in the Abkhaz parliament.984 It has to be noted at this point
that the local parliament, based on the Georgian-Abkhaz agreement, was
paralyzed within months and was divided into two blocks: Georgian
deputies on the one hand, and Abkhaz, Armenian, Russian, Greek etc, on
the other. Decisions taken by a majority were rejected by the Georgian
delegates and this state of things led to a walk-out, on 30 June 1992, by
Georgian deputies.985
980 B. Coppieters, Westliche Sicherheitspolitik und der Konflikt zwischen Georgien und Abchasien, in: Berichte des Bundesinstituts für ostwissenschaftliche und internationale Studien, Bericht des BIOst Nr. 12/1999, p. 7 981 Ibid., p. 8 982 G. Nodia, The Conflict in Abkhazia: National Projects and Political Circumstances, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 32 983 See the Decree of the Parliament of Georgia on the Legislative Practice of Apartheid and Racism in the Abkhaz Autonomous Republic (in Russian), 10 March 1994, para. 1, in: Konflikty v Abxazii i Yuzhnoi Osetii, Dokumenty 1989-2006 gg., (Conflicts in Abkhazia and South Ossetia, Documents 1989-2006), Prilozhenie k «Kavkazskomu sborniku», Vypusk № 1 (Supplement to the “Caucasian Digest”, Issue № 1), compiled and commented by M. A. Volkhonskii et al., Moscow, 2008, pp. 79-80 984 G. Nodia, The Conflict in Abkhazia: National Projects and Political Circumstances, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 33 985 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 11
264
The Georgian-Abkhaz agreement of 1991 was finally broken as the Abkhaz
Supreme Soviet reinstated the 1925 constitution on 23 July 1992, because
the very essence of the agreement in question was that “the Abkhazian
parliament could make no constitutional changes by a simple majority, i.e.,
without the consent of the two communal factions (the arcane Abkhaz
justification for this step was that it was only adopting a new constitution,
not restoring the old one, that called for a two-thirds majority).”986 It has to
be noted at this point that the Georgian parliamentary faction opposed the
resolution passed on July 23.987
It is thus evident that the Abkhaz authorities challenged the Georgian-
Abkhaz agreement of 1991 which did not allow constitutional changes
without a two-thirds majority, i.e. the consent of the Georgian faction of the
local parliament was required. Following steps, made by the Georgian side,
are also relevant in this context:
a) The decision to open a branch of the Tbilisi State University on the basis
of the Georgian sector of the Abkhaz State University in Sukhumi, causing
the protest of the Abkhazians and ethnic clashes between the Georgians and
the Abkhazians in July 1989988;
b) Adoption by the Georgian Supreme Soviet of the State Program for the
Georgian Language (19 August 1989) which made the teaching of the
Georgian language obligatory in all schools, and required Georgian
language and literature tests as prerequisites for entry into higher education,
provoking fears of “Georgianisation” among the Abkhaz population989;
c) Enactment by the Georgian Supreme Soviet of a new electoral law on 18
August 1990, according to which, only the parties operating on the whole
986 G. Nodia, The Conflict in Abkhazia: National Projects and Political Circumstances, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 33 987 See Keesing’s Record of World Events, Vol. 38, 1992, p. 39019 988 See the Address to the People’s Deputies of the USSR in July 1989 (in Russian), in: Abxazia v sovetskuyu epoxu, Abxazskie pisma, (1947-1989), Sbornik dokumentov, Tom 1 (Abkhazia in the Soviet Epoch, Abkhazian Letters (1947-1989), Collection of Documents, Vol. 1), Sukhumi, 1994, pp. 469-476 989 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 10
265
territory of Georgia could field the candidates for the elections to the
Georgian Supreme Soviet.990 On the basis of this legislation, the Abkhaz
National Forum “Aydgylara” and the South Ossetian Popular Front
“Adamon Nykhas” were prevented from fielding candidates for the posts of
deputies.991
Furthermore, it has been stated that as undisciplined Georgian paramilitary
forces invaded Abkhazia, they committed grave violations on their way.992
When Georgian troops entered Abkhazia in August 1992, they destroyed
symbols of separate Abkhaz nationality together with the statues of
Lenin.993 For example, the Abkhaz historical archives in Sukhumi were
destroyed.994
The outbreak of the 1992-1993 war, as such, is a very obscure issue. As in
respect of the pre-war situation in Georgia, it can be stressed that, after
Gamsakhurdia’s overthrow, Georgia was a weak and divided state (divided
between the supporters of the deposed President Gamsakhurdia and the
adherents of the new government), its new authorities lacked both popular
and formal legitimacy, and Abkhazia was separated from the territory under
the control of the Georgian authorities by the Megrelian region, significant
portions of which were controlled by pro-Gamsakhurdia forces.995 Nodia
concludes that the open rebuttal of the Georgian-Abkhaz agreement of 1991
by the Abkhaz side deteriorated the conditions for the accommodation of
conflicting claims:
“It amounted to a latent declaration of war on the Georgian community in
Abkhazia and on Tbilisi, and significantly strengthened the position of those 990 Article 8 of the Law of the Georgian SSR on Elections to the Supreme Soviet of Georgia (18 August 1990), available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/archive/3784g/3784g-01.pdf [accessed: 12.04.2009] 991 Chronology of events, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999, p. 82 992 S. E. Cornell / S. Frederick Starr, The Caucasus: A Challenge for Europe, Central Asia-Caucasus Institute & Silk Road Studies Program, Silk Road Paper, June 2006, p. 52 993 G. Nodia, The Conflict in Abkhazia: National Projects and Political Circumstances, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 24 994 B. Coppieters, Introduction, in: Ibid., p. 5 995 G. Nodia, The Conflict in Abkhazia: National Projects and Political Circumstances, in: Ibid., pp. 32-33
266
factions in the Georgian leadership who believed that military methods were
best in dealing with Ardzinba. This is not to imply that starting the war was
a good idea on the Georgian side, but simply that an extremely dangerous
gamble by Ardzinba’s government lent an important element of legitimacy
to the Georgian military effort.”996
As it has already been stated, the beginning of the war is an issue which can
be described as obscure and confusing. The real decision-making body in
Georgia was, at that time, the four-member “Presidium of the State Council”
composed of Shevardnadze, two warlords (Kitovani and Ioseliani) and
Prime Minister Sigua. There is no clarity in respect of the decision-making
process within the body itself, Shevardnadze’s protagonists, for example,
maintained that he really did not want the war and the latter was a result of
unauthorized actions by Kitovani, which Shevardnadze had later to
legitimize. The indication that Shevardnadze attributed to the two warlords
the responsibility for starting the 1992-1993 war, is confirmed by their later
removal from power and imprisonment.997
As it has already been stated in the present study, according to the official
Georgian version, the Georgian troops entered Abkhazia to guard highways
and railways that were targeted by subversive activities by pro-
Gamsakhurdia guerillas, and as the latter also operated on the territory of
Abkhazia, the military operation had to comprise Abkhazia as well. But
since the Abkhaz militia (an illegal armed formation) resisted the
advancement of Georgian troops, it was natural that the government forces
tried to suppress this resistance and also depose those who were behind the
Abkhaz militia, i.e. separatist authorities led by Ardzinba.998
It has to be noted that on the eve of the Georgian military operation
Shevardnadze went on the Georgian television to announce the plan: he only
spoke of guarding communication links, which was a constitutional matter,
and his threats could have been interpreted as being aimed at pro-
Gamsakhurdia forces, rather than Abkhaz authorities. But, according to
996 Ibid., p. 33 997 Ibid., p. 34 998 Ibid.
267
Nodia, he certainly understood that military resistance by the Abkhazians
was quite possible.999 Furthermore, Shevardnadze claimed that the plan for
the Georgian military operation had been cleared with Ardzinba, which the
latter denies and, of course, nobody can check, whether it is true or not.
Nodia puts following questions in this respect: even if Ardzinba had
accepted the plan, how could he be trusted? Or how could Shevardnadze’s
warlords be trusted?1000
The fact remains that there was an agreement between the Georgian and the
Abkhaz authorities which permitted the Georgian military to enter the
territory of Abkhazia under certain circumstances. The Abkhaz authorities
described the deployment of Georgian forces on 14 August 1992 as an act of
“occupation”, referring to the April 1992 agreement, which permitted the
Georgian National Guard troops to enter Abkhazia only with permission of
the Abkhaz government.1001 It can be recalled at this point that another
important objective pursued by the Georgian side was the release of
kidnapped officials, including the Interior Minister Roman Gventsadze, who
had been taken hostage on 11 August 1992 by the supporters of ousted
President Gamsakhurdia (Gventsadze was released on August 14). The
kidnapped officials had gone to negotiate the release of hostages captured in
July, including deputy Prime Minister Kavsadze.1002
All the circumstances surrounding the outbreak of the 1992-1993 war
demonstrate the complexity of the situation in the pre-war Georgia and
those difficulties contributed to the deterioration of relations between Tbilisi
and Sukhumi. Coppieters emphasizes that the deployment of Georgian
troops in Abkhazia could not, in any case, be considered an act of
aggression under international law.1003 Despite this, the deployment of
troops in Abkhazia on 14 August 1992 is a burden placed on the Georgian
side. According to Nodia, “as political conflict with Sukhumi already
999 Ibid., p. 35 1000 Ibid. 1001 Keesing’s Record of World Events, Vol. 38, 1992, p. 39059 1002 Ibid. 1003 B. Coppieters, Shades of Grey. Intentions, Motives and Moral Responsibility in the Georgian-Abkhaz Conflict, in: B. Coppieters et al. (eds.), Georgians and Abkhazians, The Search for a Peace Settlement, Bundesinstitut für ostwissenschaftliche und internationale Studien, Sonderveröffentlichung des BIOst, Oktober 1998, p. 156
268
existed it is reasonable to assume that when Georgian troops entered
Abkhazia they were intent on ‘solving’ the Abkhaz question.”1004
Bearing in mind all theoretical considerations regarding the secessionist
claims and respective cases examined in the present study, it is doubtful,
whether the enactments of the Georgian legislative body mentioned above,
and the circumstances surrounding the outbreak, the course and the
aftermath of the 1992-1993 war amounted to the serious violation or denial
of the right of Abkhazians to internal self-determination. Furthermore, as it
has been demonstrated, the Abkhaz leadership took steps offending the
Georgian-Abkhaz agreement of 1991 concerning the distribution of ethnic
quotas in the legislative and executive branches among respective
communities. Neither can it be asserted that, according to the theory of the
critical date, the Abkhazians suffered grievous wrongs at the hand of the
“parent state”, i.e. Georgia: serious and widespread violations of
fundamental human rights of the Abkhazians were absent.
8.2.7 (iii) The problem of territorial definition of a claimant to
external self-determination
It is thus evident that the Abkhaz secessionist claim is a flawed one. This
assertion holds even if one tries to define the claim in question by territorial
means. In the latter case, the holder of the right to self-determination, i.e. the
eligible “self”, would be considered the territory of the Abkhaz ASSR, as
such, not the Abkhaz people. The logic of such an approach reads as
follows: modern separatist conflicts provide support for the doctrine of uti
possidetis in that groups seeking self-determination, attempt to do so along
the physical limits already demarcated for them by previous events in
history, and respective non-state entities present territorially based
1004 G. Nodia, Georgian perspectives, in: Accord, an international review of peace initiatives, Issue 7, J. Cohen (ed.), A question of sovereignty, The Georgia-Abkhazia peace process, Conciliation Resources, London, 1999, p. 22 (emphasis in original)
269
arguments for their right to self-determination.1005 In the specific case of the
USSR this would mean following:
“[…] das uti possidetis in Fremdherrschaftssituationen beruht auf dem
Konzept der Territorialnation, d.h. auf der besonderen Situation der
unabhängig werdenden Staaten, daß ihnen eine staatstragende Nation mit
ausreichendem ethnischen, geschichtlichen und/oder religiösen
Zusammenhang fehlt.”1006
It has been emphasized that such a situation has been created in the newly
emerged states in Europe, those political units being defined as:
“Territorialnationen […] die mangels ausreichender anderer
identitätsstiftender Merkmale auf die zumeist willkürlich durch die
ehemalige Föderation gezogenen administrativen Grenzen als Klammer
angewiesen sind. ”1007
Thus, in the Soviet setting, the notion of uti possidetis meant that the
administrative borders, i.e. the republican frontiers as the highest internal
borders of the multinational federation, became the international borders of
the newly emerged independent states, the latter being, at the moment of
such a transition, the territorial units defined by those borders: “Bei den
territorialen Einheiten handelt es sich wiederum um Territorialnationen, d.h.
um grundsätzlich durch ihre Außengrenzen definierte Einheiten.”1008
According to Simmler, the dissolution of Yugoslavia and the USSR
demonstrates that ethnically defined people, for the purposes of self-
determination, enjoyed the internal dimension of the right in question and
were barred from the realization of the external one, i.e. secession. The
international community of states accepted the dissolution of the federations
mentioned above, on the basis of the principle of effectiveness, but rejected
to grant all ethnically defined peoples within the republican borders (which,
by then, were transformed into international ones) the right to external self- 1005 J. Castellino / S. Allen, Title to Territory in International Law, A Temporal Analysis, Aldershot / Burlington, 2003, p. 20 1006 C. Simmler, Selbstbestimmungsrecht der Völker contra uti possidetis?, Zum Verhältnis zweier sich angeblich widersprechender Regeln des Völkerrechts, in: VRÜ 32, 1999, p. 233 (italics in original) 1007 Ibid. 1008 Ibid., p. 229
270
determination, and made the recognition of the newly emerged independent
states contingent on the observance of high standards of the minority
protection.
It follows that the dissolution of Yugoslavia does not represent the case of
self-determination of the ethnically defined peoples, otherwise it is
impossible to explain the attitude of the international community of states
towards the secessionist aspirations of the “next level” within the structure
of the federation: nobody could reasonably explain to the Serbs living in the
Croatian region of Krajina, why the alleged ethnically defined right to
external self-determination certified Croatia’s secession from the federal
framework and, at the same time, barred Krajina from leaving Croatia
itself.1009
As in respect of Georgia, it has been asserted by the author that despite its
independent existence which lasted for a long period of time in history,
modern historical developments led to the situation, in which, there are no
other elements than the territorial bond, which would provide an identity for
the whole population of Georgia: “Fast alle Nachfolgestaaten der
ehemaligen UdSSR beherbergen (teilweise sehr starke) ethnische
Minderheiten auf ihren Gebieten, wodurch eine ethnische Definition der
Staatsnation erschwert wird.”1010 Bearing in mind these considerations, it is
important at this point to clarify the question of interaction between the
notions of ethnicity and territoriality for the purposes of the realization of
the right of peoples to self-determination, and to examine their application
to the particular case of Georgia.
The whole difficulty and complexity of an approach denoting the territorial
definition of the holder of the right to self-determination is expressed in
Simmler’s following reasoning: the protagonists of the ethnical self-
determination do not provide an answer to the question, how to justly define
the holder of the right, by territorial means, in each and every single case, as
the adherence to administrative borders is considered as contravening the
right to self-determination. It follows that in order to make ethnical self-
1009 Ibid., p. 230 1010 Ibid., p. 232
271
determination, in the form of secession, able to function as the basis for the
emergence of new states, those protagonists should once again refer to the
administrative borders and such territorial definition of the ethnic
community is inconsistent and absurd.1011 The interaction between the
notion of uti possidetis and the right of peoples to self-determination has
been summarized as follows:
“Einen indirekten Einfluß übt das uti possidetis allerdings insoweit auf das
Selbstbestimmungsrecht der Völker aus, als es in Ermangelung einer
anderen tauglichen Komponente hilft, durch das Festhalten an den
administrativen Binnengrenzen nach dem Zerfall einer übergeordneten
Einheit den Träger eines externen Selbstbestimmungsrechts nachträglich,
aber durchaus mit vorgreiflicher Wirkung, als territoriale Einheit zu
bestimmen.”1012
But the problem connected with the territorial definition of the aspirant to
secession is that international law grants the right to self-determination to
“peoples”, as such, and accordingly, the access to the right requires the
threshold step of characterizing as a people the group invoking the right in
question.1013 It is also true that international law is familiar with the
situations in which the holder of the right in question was defined by
territorial means. The most prominent cases were, in this context, the
colonial, non-self-governing and trust territories. Thus, the territorially
defined “self” is deduced in the context of the population of territories being
under alien subjugation, domination and exploitation (foreign military
occupation is one example of such a situation).
But, even those claims of the colonial territorial units to independence, were
regarded as legitimate because of the right of respective peoples inhabiting
those territories, the right to external self-determination. It follows that the
right of self-determination legitimized the attainment of independent
statehood by those territories. If we refer to a more recent example, it was
exactly the right to self-determination of the East Timorese people, which 1011 Ibid., p. 234 1012 Ibid., p. 235 (italics in original) 1013 Reference Re Secession of Quebec, Canada, Supreme Court, 20 August 1998, in: Sir E. Lauterpacht et al., (eds.), ILR, Vol. 115, 1999, p. 583
272
caused and legitimized the emergence of an independent state Timor-Leste,
not just the fact that East Timor was a non-self-governing territory. The
latter status was ascribed to East Timor because the right of respective
people to self-determination “was waiting” for its realization. In sum, it is
the lack of sufficient degree of self-determination of respective people
which causes the emergence of a non-self-governing territory, not vice
versa.
The developments experienced by public international law demonstrate that
the right of peoples to self-determination, to say precisely its external
dimension, i.e. the secessionist self-determination, requires an approach
distinct from the territorial definition of its holder. The point here is that, as
it has been shown in the present study, only unilateral remedial secession is
acceptable on the international plane. It follows that secession is a remedy,
as such, the remedy against grievous wrongs suffered at hands of the
“mother state”.
Thus, secession presupposes the existence of the victim of misgovernment,
the people which has been denied internal self-determination. If we consider
the case of Kosovo, it becomes evident that the decisive matter in this whole
conflict was the denial by Belgrade of internal self-determination to the
Kosovo Albanians and this state of things caused the current situation in the
former province, not just the fact that Kosovo enjoyed an autonomous status
as a territorial unit. Again, the right of respective people to self-
determination legitimized Kosovo’s emergence with its recent status.
The creation of a state via secessionist self-determination should involve a
strong moral claim of the victim of misgovernment, and the realization of
external self-determination should remedy the wrongs suffered at hands of
the former sovereign. The reference to the “people” which suffered grievous
wrongs and has been denied internal self-determination, which represents
the majority in the territory it claims, and which has exhausted all realistic
and effective remedies for the peaceful settlement of the conflict (i.e. short
of secession), all these notions are inherent in the legitimate claim to
secessionist self-determination.
273
Bearing in mind these considerations, it has to be concluded that an
approach, implying the territorially defined holder of the claim to external
self-determination, does not represent an appropriate guideline for solving
the problems connected with modern law of self-determination and
respective secessionist conflicts. Nevertheless, I am going to apply such an
approach to the case of Abkhazia at this stage and to draw conclusions in
this regard.
8.2.7 (iv) The notion of uti possidetis and Abkhazia as a
territorially defined “self” in the context of secessionist self-
determination
It is important to refer to the concept of uti possidetis which is informative
in this overall context. The content of the notion of uti possidetis has been
clarified by the ICJ in the following way:
“[…] the principle is not a special rule which pertains solely to one specific
system of international law. It is a general principle, which is logically
connected with the phenomenon of the obtaining of independence, wherever
it occurs. Its obvious purpose is to prevent the independence and stability of
new States being endangered by fratricidal struggles provoked by the
challenging of frontiers […]”1014
On 20 November 1991 the Badinter Arbitration Commission received a
letter of the Chairman of the Conference on Yugoslavia, Lord Carrington,
containing the question put by the Republic of Serbia, whether the Serbian
population in Croatia and Bosnia-Herzegovina enjoyed the right to self-
determination.1015 The Commission provided the following answer:
“[…] it is well established that, whatever the circumstances, the right to
self-determination must not involve changes to existing frontiers at the time
1014 Frontier Dispute, Judgment, I.C.J. Reports 1986, p. 554 (p. 565) 1015 Conference on Yugoslavia Arbitration Commission: Opinions on Questions arising from the Dissolution of Yugoslavia [January 11 and July 4, 1992], Opinion No. 2, in: 31 ILM 1488 (1992), pp. 1497-1498
274
of independence (uti possidetis juris) except where the States concerned
agree otherwise.”1016
Accordingly, the Arbitration Commission concluded that the Serbian
population in Bosnia-Herzegovina and Croatia was entitled to all the rights
enjoyed by minorities and ethnic groups under international law.1017 The
statement quoted above has been interpreted as presenting evidence for the
acceptance of uti possidetis as a doctrine of legal value, stated as an
additional criterion for recognition, and suggesting that the doctrine of uti
possidetis has been readily accepted in state practice.1018
The statement of the Badinter Arbitration Commission has been criticized
for different reasons. It has been stressed that the commission’s response to
the two questions posed by Lord Carrington was divided into three separate
opinions and, by this stage, the tone had already moved away from the
notion of binding judicial decisions.1019 Furthermore, it has been
emphasized that the assertion, that the opinions of the Badinter Commission
(especially Nos. 2 and 3) have long-term ramifications beyond the situation
in Yugoslavia, needs serious qualification.1020 As the most controversial
treatment of the issue of territoriality in contemporary international law has
been regarded the extension by the Badinter Commission of the doctrine of
stability of international frontiers to the internal administrative borders of
the former Yugoslavia: “While it is true that uti possidetis upgraded colonial
frontiers into international frontiers, its application in those cases was
flawed and its extrapolation in this modern situation is only more
problematic.”1021
The application of the uti possidetis concept to the post-Soviet setting was
confirmed by the document establishing the CIS. According to the latter
instrument, the High Contracting Parties expressed the acknowledgement of
and respect for each other’s territorial integrity and the inviolability of the
1016Ibid., para. 1, p. 1498 (italics in original) 1017 Ibid. 1018 J. Castellino / S. Allen, Title to Territory in International Law, A Temporal Analysis, Aldershot / Burlington, 2003, pp. 16-17 1019 Ibid., p. 169 1020 Ibid., p. 181 1021 Ibid., p. 190 (italics in original)
275
borders existent, at that time, within the Commonwealth.1022 This principle
was reiterated in the Alma-Ata Declaration of 21 December 1991.1023 It has
been emphasized in this respect that the Charter for the CIS formally
respects uti possidetis as a norm applicable within the territories of the
former USSR.1024
It is also true that those members of the CIS endorsed the frontiers they
received, but they still maintain territorial claims against each other, so the
signing of the Charter has not been accompanied by the states relinquishing
claims to each other’s contested territories.1025 But the decisive point is itself
the fact of application of uti possidetis to the post-Soviet setting. It has to be
mentioned that Georgia did not represent an original member of the CIS, but
it acquired full membership on 11 December 1993 and, on that date at the
latest, the principles enunciated in the document establishing the CIS
became applicable to Georgia as well.
According to Simmler, there was no will before 1989 on the part of the
states not directly affected by the frontier disputes, to transform the rule of
uti possidetis from the particular customary international law into the rule of
universal custom. But this state of affairs changed after respective
developments in Europe and subsequent reaction throughout the world. The
concept of uti possidetis acquired the status of general customary
international law, because even those states not directly affected by the
frontier disputes and representing all regions, especially due to the activity
of the UN in the field of the border conflicts on the soil of the former
Yugoslavia, demonstrated the corresponding opinio juris and appropriate
state practice in the context of the acquisition of statehood by newly
emerged independent territorial units (former federal republics).1026
Thus, it can be stressed that one important manifestation, which represents
an impediment to the realization of the territorially defined secessionist 1022 Article 5 of the Agreement Establishing the Commonwealth of Independent States [Done at Minsk, December 8, 1991], in: 31 ILM 138 (1992), p. 144 1023 See the Alma Ata Declaration of 21 December 1991, in: Ibid., p. 148 1024 J. Castellino / S. Allen, Title to Territory in International Law, A Temporal Analysis, Aldershot / Burlington, 2003, p. 19 1025 Ibid. 1026 C. Simmler, Selbstbestimmungsrecht der Völker contra uti possidetis?, Zum Verhältnis zweier sich angeblich widersprechender Regeln des Völkerrechts, in: VRÜ 32, 1999, p. 229
276
claim of Abkhazia, is the concept of uti possidetis. It is important at this
point to cite Weller’s statement which is relevant to the situation in Georgia
in the context of secessionist claims within the Soviet setting:
“Self-determination is not available to distinct ethnic entities within the self-
determination unit that may feel that they too should have had the option of
secession from secession. The doctrines of territorial unity and uti possidetis
protect the territorial identity of the self-determination entity before, during
and after the act of self-determination.”1027
It follows that as the Georgian SSR was regarded, in the Soviet setting, as
an eligible “self” for the purposes of the realization of the secessionist self-
determination, Georgia was the territorially defined holder of the right in
question. But it was the right of the Georgian people to self-determination
which represented the legal basis of the emergence of the independent
Georgian state in the post-Soviet epoch. It would be erroneous to argue that,
by the time of the attainment of its post-Soviet independence, Georgia
lacked the notion which is designated in German as “staatstragende Nation”
with sufficient ethnical, historical and/or religious coherence. There was no
identity problem in Georgia, the latter represents a state with the history
dating back to ancient times and with the religion of Orthodox Christianity
declared in Eastern-Georgian Kingdom of Iberia approximately in 337
AD.1028
Indeed, it has been stressed with regard to Georgia’s post-Soviet statehood
that apparently, at a critical date, while not existing de facto (because of a
lack of effectiveness), Georgia had emerged de jure due to the lawful
exercise of the right to external self-determination, the latter circumstance
having as a consequence the title to jurisdiction.1029 The fact that there are
ethnic minorities in Georgia does not mean that there is no ethnically
1027 M. Weller, The Self-determination Trap, in: Ethnopolitics, Vol. 4, 2005, p. 13 (italics in original) 1028 See G. Anchabadze, History of Georgia, Georgian Kingdoms in the Late Antique Period (the IV cen. B.C. – V cen.), available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/pages/archive_en/history/his2.html [accessed: 04.05.2009] 1029 R. Lefeber / D. Raič, Frontiers of International Law, Part One: The Chechen People, in: LJIL, Vol. 9, 1996, p. 3
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defined “Staatsnation” in the Georgian case: the existence of ethnic
minorities does not exclude the presence of the notion known as
“staatstragende Nation”. The fact that a national movement contributed to
the attainment by Georgia of its independence, confirms this. Bearing in
mind these considerations, the assertion that Georgia was solely a
territorially defined holder of the right to self-determination, has to be
regarded, at the best, as a highly questionable one.
There can be no secession from secession of a territorially defined “self” in
the Georgian-Abkhaz context, the notions of the territorial integrity of states
and uti possidetis serve as a bar to the realization of secessionist self-
determination of the territorially defined aspirant. It has to be mentioned
that the territorially defined “self” does not satisfy the criteria of secession
in the case of Abkhazia.
It is true that the Abkhaz declaration of independence of 12 October 1999
refers to the “independent State created by the people of Abkhazia”1030 and
not the Abkhaz people, as such, i.e. the link is made to the territorial
definition of the eligible “self” for the purposes of the realization of the right
of peoples to self-determination. But, as the territorially defined unit,
Abkhazia included 45.6% Georgian population which has been expelled
from the republic in the course of the ethnic cleansing. At the same time, no
reasonable conditions have been established by the Abkhaz authorities for
the return of Georgians. Bearing in mind these facts, it has to be concluded
that the Abkhaz secessionist claim, even if its holder is defined by territorial
means, does not represent a strong one, it lacks the legitimacy. Decisive
seems to be, in this case, the statement made by Judge Wildhaber in his
concurring opinion (joined by Judge Ryssdal), in the case Loizidou v.
Turkey in 1996:
“When the international community in 1983 refused to recognise the
‘TRNC’ as a new State under international law […], it by the same token
implicitly rejected the claim of the ‘TRNC’ to self-determination in the form
1030 Act of State Independence of the Republic of Abkhazia (12 October 1999), available on the website of the Unrepresented Nations and Peoples Organization (UNPO), at: http://www.unpo.org/content/view/705/236/ [accessed: 07.05.2009]
278
of secession […] The ‘TRNC’ is constituted by what was originally a
minority group in the whole of Cyprus (i.e. the ‘Turkish Cypriots’) but what
is now the majority in the northern part of Cyprus. This group invokes a
right to self-determination which under the 1985 Constitution is denied by
them to the ‘Greek Cypriots’ living in the territory of the ‘TRNC’. This
leads me to the conclusion that where the modern right to self-determination
does not strengthen or re-establish the human rights and democracy of all
persons and groups involved, as it does not in the instant case, it cannot be
invoked to overcome the international community’s policy of non-
recognition of the ‘TRNC’.”1031
Thus, having established that neither in the context of the ethnically defined
“self”, nor in the sense of a territorially defined holder of the right to self-
determination, does the Abkhaz secessionist claim represent a strong one, it
is important at this point to address the issue, whether the Abkhaz
secessionist aspiration can be legitimized despite its apparent shortcomings.
Here we are led to the other “face” of the principle of effectiveness, namely
the notion of prescription, and its functioning within the realm of public
international law.
8.2.8 The notion of prescription and Abkhazia’s claim to independent
statehood
8.2.8 (i) Essence of the concept of prescription and its dimensions
within the realm of public international law
Prescription is a complex phenomenon which encompasses various
elements and dimensions. It can be asserted that this manifestation
represents an expression of the “mode of functioning” of the de facto state
as it means that “lapse of time can lead to the creation or elimination of
legal positions. An existing situation can become, through lapse of time,
1031 Concurring opinion of Judge Wildhaber, joined by Judge Ryssdal, Case of Loizidou v. Turkey, Appl. no. 15318/89, Judgment (Merits and just satisfaction), ECHR, judgment of 18 December 1996, available on the official website of the ECHR, at: http://cmiskp.echr.coe.int/tkp197/search.asp?sessionid=6710424&skin=hudoc-en [accessed: 07.05.2009]
279
legally cognizable although it was not so originally;”1032. It is evident that
prescription operates on the basis of the requirement of time and is directly
connected with the alleged law-creating influence of facts. Moreover,
reference has been made to the situation illegal in origin and the importance
of the notion of prescription is that it validates the factual situation illegal in
origin, i.e. it represents the negative dimension of the notion of ex factis jus
oritur.
Indeed, the latter function of the concept of prescription has been confirmed
by Lauterpacht, as this eminent scholar has included prescription in the list
of the modes of the validation of illegality (together with the notions of
consent of the injured party and recognition).1033 The concept of
prescription plays an important role in the domestic legal systems of
different states but it is the content of this manifestation under public
international law, which is important in the context of the de facto state.
First of all, it must be noted that the notion of prescription has two different
“faces” within the realm of public international law: extinctive and
acquisitive. The former refers “to the loss of a claim by failure to prosecute
it.”1034 This form of prescription is also known in English law and is
expressed through the notions of “limitation” and “laches”. But it is the
concept of acquisitive prescription which causes an academic interest in the
context of the title to territory, the alleged law-creating influence of facts in
the form of ex factis jus oritur and the de facto state. It is important at this
stage to introduce the definition of the acquisitive prescription and its
significance within the realm of public international law:
“If the conditions of effective, continuous and peaceful exercise of territorial
jurisdiction are fulfilled, a relative title grows into an absolute title which is
valid erga omnes. Acquisition of title in this manner may be called title by
way of acquisitive prescription. It shares with extinctive prescription the
1032 C. - A. Fleischhauer, Prescription, in: R. Bernhardt (ed.), EPIL, Vol. 3 (1997), p. 1105 1033 See H. Lauterpacht, Recognition in International Law, Cambridge, 1948, pp. 427-429 1034 P. K. Menon, Title to Territory: Traditional Modes of Acquisition by States, in: RDI, Vol. 72, 1994, p. 13
280
legal effect of creating an estoppel against third states whose claims have
become stale.”1035
As it is evident from this statement, effective and continuous display of state
functions, which is peaceful in relation to other states, amounts to the title. It
is again the notion of effectiveness which becomes the issue of decisive
importance in this context.
It must be noted that the acquisitive prescription, as such, appears in two
different forms as the basis of the acquisition of a title to territory. The first
one is an immemorial possession and denotes the situation in which there is
uncertainty with regard to the origin of existing state of things. It is
impossible to prove legality or illegality of the origin of respective factual
situation and, for this reason, there is a presumption that it is legal, i.e.
respective title is acquired under this manifestation of prescription. The
second and more important form is prescription akin to usucapio of Roman
law. Legal effect of usucapio under the Roman law was dependent on the
interplay of following requirements: “(a) A thing susceptible of ownership
(res habilis); (b) A title of some kind (justus titulus), such as a sale, gift, or
legacy, albeit a defective title; (c) Good faith (fides); (d) Possession
(possessio), implying physical control (corpus) and the intention to possess
as owner (animus); (e) The possession must be uninterrupted for a period of
time defined by law (tempus).”1036
It must be stressed that the situation with regard to the notion of acquisitive
prescription under public international law is quite different from the state
of affairs described above. These considerable differences are of great
importance in the context of the assessment of respective claims which have
emerged in various de facto situations. Following criteria must be satisfied
before the title is acquired on the basis of acquisitive prescription within the
realm of public international law:
1035 G. Schwarzenberger, Title to Territory: Response to a Challenge, in: AJIL, Vol. 51, 1957, p. 322 (italics in original) 1036 D. H. N. Johnson, Acquisitive Prescription in International Law, in: BYIL, Vol. 27, 1950, pp. 334-335 (italics in original)
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The prescribing state must exercise its possession à titre de souverain This requirement refers to the prescribing state, as to the sovereign.
Respective state must demonstrate that it regards itself as a sovereign in
connection with the territory it wishes to acquire. If it admits that
sovereignty over that territory belongs to another state, it cannot claim the
title on the basis of the acquisitive prescription, because there is no
acquiescence of the other state in this situation and the notion of
acquiescence represents a conditio sine qua non of acquisitive prescription.
This requirement of acting as a sovereign is based on the idea that “the
actual exercise of sovereign jurisdiction tends to create a presumption in
favour of the right to exercise such jurisdiction.”1037 It has to be noted that
the claim of a prescribing state must be based on its own, i.e. state acts. The
acts of individual persons are left without consideration where the
acquisition of the title to territory, on the basis of acquisitive prescription, is
the issue in question.1038 Another consequence of the requirement that the
possession must be exercised by the prescribing state à titre de souverain is
that it is not enough for the prescribing state to legislate on the affairs of its
own nationals in the area concerned, it is only if the state has legislated for
the territory, as such, and this legislation has been acquiesced in by the other
state(s), that there has been an exercise of sovereign power which can serve
as the basis of the acquisition of a title to the territory in question on the
ground of the notion of prescription.1039
The possession of the prescribing state must be peaceful and uninterrupted This requirement denotes the situation in which the exercise of state
functions by the prescribing state is not challenged by other states. The
notion of challenge is of great importance in this context. It has to be noted
that the diplomatic protest has been regarded as an issue having no
overwhelming importance within the realm of contemporary international
law in the sense of the principal mode of preventing the prescription from
1037 P. K. Menon, Title to Territory: Traditional Modes of Acquisition by States, in: RDI, Vol. 72, 1994, p. 15 1038 See D. H. N. Johnson, Acquisitive Prescription in International Law, in: BYIL, Vol. 27, 1950, p. 344 1039 See Ibid., p. 345
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producing legal effects. Moreover, according to Johnson, “A protest since
1919 can be said to have amounted to no more than a temporary bar.”1040 It
has been asserted that, in order to interrupt the acquisitive prescription, it is
a proper way within the corpus of public international law of modern age to
bring the issue in question before the UN or the ICJ.1041
The possession of the prescribing state must be public This requirement is directly connected with the notion of acquiescence and
refers to the knowledge of respective state of affairs on the part of the
acquiescing state: “Publicity is essential because acquiescence is essential.
For acquisitive prescription depends upon acquiescence, express or implied.
[…] but without knowledge there can be no acquiescence at all.”1042
The possession of the prescribing state must persist for a certain period of time This requirement represents one of the most problematic issues connected
with the concept of the acquisitive prescription. The source of the problem
is that, unlike the situation in domestic legal systems, there is no fixed
period of time within the realm of public international law which could be
applied to the functioning of the acquisitive prescription.1043
Another problematic issue is that of peaceful and uninterrupted possession
of the prescribing state. A certain degree of clarity exists in respect of the
criterion of persistence of the possession of the prescribing state in the sense
that, the period of time which is necessary to acquire the title to territory on
the basis of the acquisitive prescription, is considered to be longer in
comparison with a similar requirement of the domestic legal system. It has
also been suggested that the notion of protest is of greater weight within the
realm of public international law than in the internal legal order.1044 This is
again the real situation with regard to the requirement of time in the context 1040 Ibid., p. 346 1041 Ibid. 1042 Ibid., p. 347 1043 See P. K. Menon, Title to Territory: Traditional Modes of Acquisition by States, in: RDI, Vol. 72, 1994, p. 16 1044 See F. Münch, Brauch und Missbrauch der normativen Kraft des Faktischen, in: Jahrbuch der Albertus-Universität zu Königsberg / Pr., Bd. XV, 1965, p. 40
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of the acquisitive prescription in public international law: it must be longer
than the period applied within the domestic legal system but there is no
concrete, i.e. fixed period of time within the corpus of public international
law. Bearing in mind the uncertainty existing with regard to the requirement
of time, it is important to clarify the status of the acquisitive prescription in
public international law.
8.2.8 (ii) The place ascribed to the notion of acquisitive
prescription within the realm of public international law
It has to be noted that international judicial agencies have “crystallized” the
notion of acquisitive prescription and its components and it is useful to refer
to respective decisions. One of the most important cases is that of
Grisbadarna, between Norway and Sweden. The Permanent Court of
Arbitration assigned the Grisbadarna banks to Sweden on the basis of the
fact that the latter “has performed various acts in the Grisbadarna region,
[…] owing to her conviction that these regions were Swedish, […] whereas
Norway, according to her own admission, showed much less solicitude in
this region in these various regards.”1045 It is evident that reference has been
made to the continuous display of territorial jurisdiction which was peaceful
and uninterrupted.
The Permanent Court of Arbitration made a statement of overwhelming
importance with regard to the concept of effectiveness and its status within
the realm of public international law. This statement refers to the firmly
established factual situation and is indirectly connected with the alleged
law-creating influence of facts in the form of ex factis jus oritur. The
statement reads as follows:
“It is a settled principle of the law of nations that a state of things which
actually exists and has existed for a long time should be changed as little as
possible;”1046
1045 Decision of the Permanent Court of Arbitration in the Matter of the Maritime Boundary Dispute between Norway and Sweden, reprinted in: AJIL, Vol. 4, Part 1, 1910, p. 233 1046 Ibid.
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The case of El Chamizal is also of great importance with regard to the issue
of acquisitive prescription. In this case between Mexico and the US, the
latter asserted that it had acquired the title to the Chamizal Tract on the basis
of prescription and Mexico was estopped from claiming the territory in
question “by reason of the undisturbed, uninterrupted, and unchallenged
possession of said territory by the United States of America”1047, i.e. the
reference has been made to some essential requirements of the acquisitive
prescription. International Boundary Commission, which was the Arbitrator
in this case, emphasized the fact that the possessions of the US citizens and
the political control exercised by local and federal governmental authorities
“have been constantly challenged and questioned by the Republic of
Mexico, through its accredited diplomatic agents.”1048 It is evident that the
notion of diplomatic protest was the issue addressed by the Commission in
this statement.
After that, the Arbitrators stressed that there is an essential attribute of the
prescription that it must be “peaceable”.1049 It has to be noted that reference
has been made to the fact that it was impossible for Mexicans to take
physical possession of the territory in question, because such attempts
would provoke violence and Mexico could not be blamed for using the
milder form of the diplomatic protest.1050 The Arbitrators came to the
conclusion that the US had not acquired the title to the disputed territory on
the basis of the notion of prescription.1051
In the Anglo-Norwegian Fisheries Case the validity of the lines of
delimitation of the Norwegian fisheries zone was the subject of the dispute.
First of all, the ICJ stressed the fact that Norway had applied its system of
delimitation “consistently and uninterruptedly” for a long period of time,
until the moment when the dispute arose.1052 An important statement has
been made by the Court with regard to the period of time and the notion of
uninterrupted possession:
1047 The Chamizal Case, 1911, in: RIAA, Vol. XI, p. 328 1048 Ibid. 1049 Ibid., p. 329 1050 Ibid. 1051 See Ibid. 1052 Fisheries case, Judgment of December 18th, 1951: I.C.J. Reports 1951, p. 116 (p. 138)
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“The general toleration of foreign States with regard to the Norwegian
practice is an unchallenged fact. For a period of more than sixty years the
United Kingdom Government itself in no way contested it.”1053
The Court examined circumstances of the case and arrived at the following
conclusion:
“The notoriety of the facts, the general toleration of the international
community, Great Britain’s position in the North Sea, her own interest in
the question, and her prolonged abstention would in any case warrant
Norway’s enforcement of her system against the United Kingdom.”1054
As a consequence, the Court found that the method employed in the Royal
Norwegian Decree of 1935 for the delimitation of the fisheries zone, and the
base-lines fixed on the ground of that method, were not contrary to
international law.1055
It is evident that the notion of acquisitive prescription entered the
international legal order long time ago and, although it is possible that, in
some cases, international judicial agencies have not mentioned the word
“prescription”, as such, the concept of acquisitive prescription was applied
in different instances. As with regard to the exact status of the concept in
question, it has to be noted that acquisitive prescription is regarded as a rule
of international law “through being a ‘general principle of law recognised
by civilised nations’”1056 in the sense of Art. 38, 1.(c) of the Statute of the
ICJ.1057
8.2.8 (iii) Significance of the notion of acquisitive prescription in
the context of de facto statehood and its application to the case of
the “Republic of Abkhazia”
The notions which are connected with acquisitive prescription, such as
acquiescence and estoppel, have already been examined in the present study 1053 Ibid. 1054 Ibid., p. 116 (p. 139) 1055 See Ibid., p. 116 (p. 143) 1056 D. H. N. Johnson, Acquisitive Prescription in International Law, in: BYIL, Vol. 27, 1950, p. 343 (emphasis in original) 1057 See Article 38, 1.(c) of the Statute of the International Court of Justice, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995, p. 448
286
in the context of the Kosovo case. It is thus sufficient to note that
acquiescence is an essential element of the acquisitive prescription. Without
acquiescence there can be no acquisitive prescription at all. An important
question follows: is it possible that the de facto state acquires a valid title to
territory on the basis of the acquisitive prescription? The following
statement is likely to serve as a vehicle to push analysis still further with
regard to the examination of the overall effect of this situation on the
emergence and existence of the de facto state:
“Wird einer gewaltsamen Annexion nicht entgegengetreten, sondern ein
solcher Zustand von den übrigen Staaten geduldet, kann eine nachträgliche
Heilung des widerrechtlichen Gebietserwerbs durch Ersitzung eintreten.
Trotz des völkerrechtlichen Annexionsverbotes und trotz des sich generell
an die Staaten der Völkergemeinschaft richtenden Verbots, rechtswidrigen
Gebietserwerb anzuerkennen, wird damit der Rechtsgrundsatz »ex iniuria
ius non oritur« zugunsten der Maxime der praktischen Politik »ex factis ius
oritur« modifiziert.”1058
This alleged possibility of modification, i.e. the validation of illegality on
the basis of the continuous factual existence, which represents the
expression of the negative dimension of ex factis jus oritur, is the issue of
overwhelming importance in the context of the de facto state. It follows that
the question, which is crucial for the purposes of the present thesis in the
context of Abkhazia, reads as follows: does the continuous display of state
authority or, effective and exclusive exercise of state functions by the
Abkhaz authorities, mean that this de facto state has acquired a valid title to
the territory? In order to answer this question, it is important to refer to the
Abkhaz claim officially asserted on 12 October 1999:
“[…] the people of Abkhazia have reaffirmed their determination to proceed
with building a sovereign, democratic State functioning in accordance with
1058 D. Blumenwitz, »ex factis ius oritur« - »ex iniuria ius non oritur«, Zur Frage einer Ersitzung der deutschen Ostgebiete durch die UdSSR und Polen, in: D. Blumenwitz / B. Meissner (Hrsg.), Staatliche und nationale Einheit Deutschlands – ihre Effektivität, Staats- und völkerrechtliche Abhandlungen der Studiengruppe für Politik und Völkerrecht, Bd. 3, Köln, 1984, pp. 48-49 (emphases in original)
287
law, a subject of international law, and to seek its recognition by the
international community.”1059
Thus, the Act of State Independence of the “Republic of Abkhazia” contains
an appeal to the UN, the OSCE and to all states of the world, to recognize
the state created by the people of Abkhazia on the basis of the right to self-
determination.1060 But the point here is that Abkhazia lacks substantive
recognition by the international community, and that is why it has to be
regarded as a de facto state. It can be recalled at this stage that, in order to
attain substantive recognition, an entity in question would need success in at
least a majority of certain areas of “functioning” of international
recognition. Abkhazia is recognized as a state by one major power of the
day, the Russian Federation, but others have not followed Russia’s steps in
this regard. Georgia, the “mother state” which Abkhazia was seeking to
leave, has not recognized Abkhazia and it cannot be said that there were no
objections from Georgia to other states recognizing Abkhazia. On 28
August 2008, the Georgian parliament adopted the resolution, in which it
resolved:
“1. To declare the Russian armed forces, including the so called
peacekeeping forces, currently deployed on the territory of Georgia, as
occupying military units.
2. To declare the Autonomous Republic of Abkhazia and the former
Autonomous Region of South Ossetia as territories occupied by the Russian
Federation.
6. To entrust the executive authorities of Georgia with the task of breaking
off the diplomatic relations with the Russian Federation.”1061
1059 Act of State Independence of the Republic of Abkhazia (12 October 1999), available on the website of the Unrepresented Nations and Peoples Organization (UNPO), at: http://www.unpo.org/content/view/705/236/ [accessed: 20.05.2009] 1060 See Ibid. 1061 Resolution of the Parliament of Georgia N243 on the Occupation of the Georgian Territories by the Russian Federation (28 August 2008), paras. 1, 2, 6, available on the official website of the Parliament of Georgia, at: http://www.parliament.ge/index.php?lang_id=ENG&sec_id=98&info_id=20047 [accessed: 20.05.2009]
288
Thus, on 2 September 2008, Envoy Extraordinary and Plenipotentiary of the
Russian Federation to Georgia received two notes from the Ministry of
Foreign Affairs of Georgia indicating termination by Georgia of the
Protocol of 2 July 1992 on the establishment of diplomatic relations
between the then Republic of Georgia and the Russian Federation. The
second document notified the Russian side that Georgia would maintain
consular relations with the Russian Federation.1062
As in respect of Nicaragua, it has to be stressed that, in connection with the
recognition by the latter of the independence of Abkhazia and South Ossetia
on 2 September 2008, the Georgian government adopted a decision to
terminate the Protocol of 19 September 1994 on the establishment of
diplomatic relations between two countries and the Ministry of Foreign
Affairs of Georgia transmitted an official note on the termination of
diplomatic relations between the two states to the Mission of the Republic
of Nicaragua to the UN.1063 From neighbouring countries and countries with
which it shares borders, Abkhazia is recognized by the Russian Federation.
Abkhazia does not meet the criterion, according to which, the recognition by
a majority of countries in the UN General Assembly is required. Abkhazia
has been recognized by the Russian Federation, the Republic of Nicaragua
and the Bolivarian Republic of Venezuela.1064 Neither can it be asserted that
Abkhazia participates in global and regional international organizations.1065
1062 See Information for the Press issued by the Press and Information Department of the Ministry of Foreign Affairs of Georgia on 2 September 2008, available on the official website of the MFA of Georgia, at: http://mfa.gov.ge/index.php?lang_id=ENG&sec_id=30&info_id=7853 [accessed: 20.05.2009] 1063 Information on the termination of diplomatic relations between Georgia and the Republic of Nicaragua issued by the Press and Information Department of the Ministry of Foreign Affairs of Georgia on 28 November 2008, available on the official website of the MFA of Georgia, at: http://www.mfa.gov.ge/index.php?lang_id=ENG&sec_id=30&info_id=8467 [accessed: 20.05.2009] 1064 Venezuela Recognizes Abkhazia, S. Ossetia [10 September 2009], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=21449&search [accessed: 20.10.2009] 1065 According to the information available on the website of the Ministry of Foreign Affairs of the Republic of Abkhazia, Abkhazia’s international organization participation encompasses the Unrepresented Nations and Peoples Organization (UNPO) and the Community for Democracy and Rights of the Peoples: http://www.mfaabkhazia.org/blok_poleznaya_informaciya/obwaya_informaciya/ [accessed: 20.05.2009]
289
It is thus evident that Georgia and the international community have not
acquiesced in the Abkhaz claim to independent statehood. It follows that
Abkhazia, despite the fact that it satisfies the traditional or empirical criteria
for statehood based on the principle of effectiveness, and, from the point of
view of the Abkhaz authorities, exercises its de facto possession à titre de
souverain, does not acquire the status of a state under contemporary
international law. The possession of the prescribing territorial entity
(Abkhazia) cannot be regarded as peaceful and uninterrupted because it is
challenged by the “mother state” (Georgia) and the international
community, as the latter regularly expresses its attitude through the
resolutions of the UN Security Council reaffirming Georgia’s sovereignty,
independence and territorial integrity within its internationally recognized
borders.1066 Bearing in mind these considerations, it has to be concluded that
the principle of effectiveness does not guarantee Abkhazia’s statehood
within the realm of contemporary international law through the notion of
acquisitive prescription.
8.2.9 Alleged precedential value of the case of Kosovo and its impact on
Abkhazia’s status
The troubled region of Caucasus became, once again, the centre of attention
after the dissolution of the Soviet Union. With respect to secessionist
aspirations, it has to be noted that the demonstrative effect of the notion of
secession, i.e. its precedential value, is confirmed by the circumstances
surrounding Kosovo’s status settlement and its impact on the secessionist
regions of the Caucasus. Russia has warned that the attainment by Kosovo
of the independent status would set a precedent for secessionist claims of
breakaway regions such as Nagorno-Karabakh or South Ossetia and the 1066 The list of the UN Security Council resolutions recognizing Georgia’s territorial integrity includes following documents: 876 (1993), 881 (1993), 892 (1993), 896 (1994), 906 (1994), 937 (1994), 971 (1995), 993 (1995), 1036 (1996), 1065 (1996), 1096 (1997), 1124 (1997), 1150 (1998), 1187 (1998), 1225 (1999), 1255 (1999), 1287 (2000), 1311 (2000), 1339 (2001), 1364 (2001), 1393 (2002), 1427 (2002), 1462 (2003), 1494 (2003), 1524 (2004), 1554 (2004), 1582 (2005), 1615 (2005), 1666 (2006), 1752 (2007), 1781 (2007), 1808 (2008). See Statement of the Ministry of Foreign Affairs of Georgia issued on 27 August 2008, available on the official website of the MFA of Georgia, at: http://www.mfa.gov.ge/index.php?lang_id=ENG&sec_id=59&info_id=7769 [accessed: 20.05.2009]
290
Russian Federation might indeed support the realization of respective
aspirations.1067 This kind of precedential effect of secession was referred to
not only by the “external” actor, but also by the leadership of Abkhazia. The
Abkhaz de facto President openly stated that Kosovo’s recognition would
immediately be followed by the recognition of Abkhazia.1068
It has to be noted at this point that the genuineness of the secessionist
aspirations in Abkhazia and South Ossetia has been regarded as a
problematic issue because “the trend of de facto annexation of the
secessionist entities to Russia remained predominant”1069. Not only did the
Russian Federation impose a discriminatory visa regime, on the basis of
which, residents of Abkhazia and South Ossetia were privileged from the
visa requirement in contrast to the rest of Georgia, but Moscow began to
extend Russian citizenship en masse to the population of these two
territorial entities. This process was followed by a claim to defend the
interests of Russian citizens abroad, the staffing of government officers with
Russian security service personnel and discussions of annexation by Russia
of the two regions.1070
The Russian policy in the South Caucasus after the dissolution of the USSR,
described as “Russia’s modern-day reconquista”, was guided by three major
principles: the Caucasian states should be members of the CIS, the
“external” borders of these states (i.e. former Soviet external borders with
Turkey and Iran) were to be guarded by the Russian border troops and the
Russian military bases should be present on the territory of the three
states.1071 During Shevardnadze’s rule in Georgia, Russia took control over
Georgia’s Turkish border and established four military bases in strategic
locations: at Vaziani just outside the capital, in Gudauta (Abkhazia), in
Batumi (capital of Ajaria) and in Akhalkalaki, centre of the Armenian
minority in Georgia. It has to be stressed that the Georgian parliament never
1067 J. Headley, Kosovo: Déjà vu for Russia [28 May 2007], in: Transitions Online (www.tol.org), Issue no.05/29/2007, p. 2 1068 See N. Popescu, Europe’s Unrecognised Neighbours: The EU in Abkhazia and South Ossetia, CEPS Working Document No. 260 / March 2007, p. 18 1069 Ibid., p. 22 1070 S. E. Cornell / S. Frederick Starr, The Caucasus: A Challenge for Europe, Central Asia-Caucasus Institute & Silk Road Studies Program, Silk Road Paper, June 2006, pp. 55-56 1071 Ibid., pp. 50-51
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ratified these agreements, making the legal status of the Russian military
presence highly questionable.1072 In 1999, at the Istanbul summit of the
OSCE, Russia took on an international contractual obligation to quit those
bases, but only in 2006 was Georgia able to reach an agreement with the
Russian Federation on the withdrawal of Russian bases and troops from the
Georgian soil.1073
In the international legal context, Russia has pressed an argument that the
Kosovo case has the precedential value in respect of the status of
secessionist claims in Georgia. If we address the specific case of Abkhazia,
it becomes evident that there are more differences between the two, than
similarities. It has been emphasized that Chechnya resembles Kosovo more
than Abkhazia does, given the demographic situation in the region and the
human rights violations conducted by the central government: those
violations were also present in Georgia, but were much more one-sided in
the case of Chechnya.1074 Furthermore, following distinctive features have
been stressed in this respect:
a) Kosovo’s claim to independence is based on international law while
Abkhazia’s is not. The Security Council Resolution 1244 explicitly required
a plebiscite to determine the province’s future political status in accordance
with the will of its people. Since then, Kosovo has fulfilled elaborated
standards as a prerequisite to its recognition. Abkhazia’s claim, however,
falls far short of international standards;
b) It is true that the Resolution 1244 affirmed the sovereignty and the
territorial integrity of the FRY, which, by that time, had been reduced to a
rump state consisting of Serbia and Montenegro. However, the republic’s
legal identity changed as Montenegrins voted to secede in 2006, leaving
only Serbia as a successor state. Even before these events, Kosovo, with
ethnic Albanians comprising more than 90% of the population, had
exercised its constitutional right in conducting a referendum that
overwhelmingly endorsed independence. In contrast, after the dissolution of
1072 Ibid., p. 52 1073 Ibid. 1074 Ibid., footnote 36, p. 56
292
the USSR, Georgia was recognized by the international community within
its borders which included Abkhazia and South Ossetia. As the Georgian-
Abkhaz war broke out, the UN developed a process aimed at restoring
Georgia’s territorial integrity, it did not establish a protectorate managing
Abkhazia’s independence;
c) Kosovo’s leadership has endorsed an extensive package of minority
rights and promised autonomy for communities where Kosovo Serbs
predominate, whereas Abkhaz leaders actively block the efforts of the UN
to create security and economic conditions enabling the return of the IDPs
because they know that a majority of Abkhazia’s original population (for the
purposes of the present study, the population residing in Abkhazia at the
critical date is meant) supports reunification with Georgia;
d) Kosovo Albanians were victims of atrocities on a massive scale. After a
decade of gross human rights abuses, Serbia’s leaders launched an ethnic
cleansing campaign in 1998 that resulted in the death of more than 10.000
and the displacement of a million, whereas Abkhaz separatists perpetrated
violence directly aimed at the expulsion of ethnic Georgians.1075
Bearing in mind the considerations mentioned above, it has to be concluded
that “Abkhazia is not Kosovo. There are fundamental legal and political
differences between the two territories.”1076
1075 D. L. Phillips, Russia: Abkhazia Is Not Kosovo [7 February 2008], in: Transitions Online (www.tol.org), Issue no.02/12/2008, pp. 1-2 1076 Ibid., p. 1
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Chapter 9: The “Republic of South Ossetia”
9.1 Political context
9.1.1 History: from ancient times to the creation of the South Ossetian
AO
The developments in Georgia in the early 1990s have already been
described in the present thesis in the context of the case of Abkhazia, so
they will not be specifically referred to while considering the status of the
former South Ossetian Autonomous Oblast (AO).
In the second half of the first millennium BC, the territory that is nowadays
known as South Ossetia became part of the Iberian (Kartli) state.1077 The
Georgian names for this land (3900 sq km) are: “Shida Kartli” (Inner
Kartli), “Samachablo” (the land of the aristocratic Georgian Machabeli
family), and the “Tskhinvali Region” (after the capital of the area).1078 The
Ossetians claim to be descendants of the Alanian and Scythian tribes which
migrated from Persia to the Caucasus and the Ossetian language belongs to
the Indo-European group, is related to Pushto and Farsi, but uses the Cyrillic
alphabet.1079 Between the 9th and 13th centuries, the ancestors of the
Ossetians (the Alani) formed an early feudal state but the invasions by the
Mongol-Tatars, which began in the 1230s and Tamerlane, in the late 14th
century, forced the Ossetians to move to the mountain gorges of the
Caucasus where they began settling the southern slopes of the
mountains.1080
It has to be stressed at this point that the Ossetian settlements were
traditionally located in the central region of the North Caucasus.1081
Accordingly, as Georgia was annexed by the Russian Empire in 1801, the
territory in question, being part of Georgia, gained the status of the part of
1077 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 12 1078 Georgia: Avoiding War in South Ossetia (26 November 2004), International Crisis Group, Europe Report № 159, footnote 10, p. 2 1079 Ibid. 1080 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, p. 12 1081 See O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, pp. 436-437
294
Tbilisi Governorate, whereas North Ossetia belonged to the District of
Vladikavkaz within the “Terek Oblast”. In this respect, Luchterhandt
emphasizes the fact that not only were the territories in question separated
by the mountainous barrier, but they were also integrated into distinct
administrative units.1082 According to the same author, in April 1917 the
Ossetian National Council was formed within the District of Vladikavkaz
followed by the South Ossetian National Council which was constituted on
the Georgian side of the Caucasus and for the first time in history, the
designation “South Ossetia” was publicly used by the political organization
in the national-territorial sense.1083
Subsequent years were shaped by the power struggle between Bolsheviks
and Georgian Mensheviks and this struggle had its direct impact on the
status of the territory in question. In August 1917, the “Union of
Revolutionary Working Peasants” was established in the village of Ortevi
(after taking Tskhinvali, they were forced to retreat). On 12 June 1919, the
District Committee of the All-Union Communist Party (Bolshevik) was
elected at the First (illegal) Conference of Bolshevik Organizations of South
Ossetia and in October the same year, uprisings against the Mensheviks
broke out in several areas. On 23 October 1919, rebels in the Roka area
proclaimed the establishment of Soviet power and advanced toward
Tskhinvali, but Menshevik forces suppressed the uprising. Following the
overthrow by the Red Army of the Menshevik government of the first
Georgian republic in February 1921, the South Ossetian Autonomous
Oblast was created as part of the Georgian SSR on 20 April 1922.1084
9.1.2 Secessionist aspirations of the South Ossetian leadership and the
outbreak of hostilities between the Georgian and South Ossetian sides
The situation in the region deteriorated significantly during the late 1980s.
The emergence of the South Ossetian Popular Front “Ademon Nykhaz” was
connected with the efforts of the Ossetians aimed at upgrading the status of 1082 Ibid., p. 437 1083 Ibid., p. 438 1084 T. Potier, Conflict in Nagorno-Karabakh, Abkhazia and South Ossetia, A Legal Appraisal, The Hague et al., 2001, pp. 12-13
295
the territory they inhabited. In Spring 1989, the head of the movement, Alan
Chochiev, wrote an open letter to the Abkhaz people supporting Abkhazia’s
secession from Georgia.1085 In November 1989, the Soviet of South
Ossetian AO decided to upgrade the status of the autonomous province to
that of an autonomous republic. The decision was revoked by the Georgian
parliament and this was followed by violent clashes between Ossetian and
Georgian paramilitaries.1086 Some attempts were made to defuse the crisis
and, in this sense, public forums were attended by both Ossetians and
Georgians.
On 20 September 1990, the “South Ossetian Soviet Democratic Republic”
was proclaimed as a sovereign republic within the USSR with reference to
the right of peoples to self-determination.1087 On 10 December 1990, South
Ossetia reaffirmed the September proclamation of independence and state
sovereignty within the USSR. As a response, the Georgian Supreme Soviet
annulled the South Ossetian autonomy on 11 December 1990. On December
13, a clash between ethnic Georgian police officers and Ossetian militants
caused casualties and the Georgian Supreme Soviet introduced a state of
emergency in Tskhinvali and Dzhava (the function of enforcement of the
state of emergency was assumed by the USSR Interior Ministry troops).1088
The Soviet Union intervened on 7 January 1991, as President Gorbachev
issued a decree annulling South Ossetia’s September 1990 declaration of
secession from Georgia, and the subsequent revocation by the Georgian
Supreme Soviet of South Ossetia’s autonomous status. On 9 January, the
Georgian Supreme Soviet unanimously rejected Gorbachev’s decree as
“gross interference” in Georgia’s internal affairs.1089 On 30 January 1991,
the Georgian police arrested the chairman of the South Ossetian Oblast
1085 Georgia: Avoiding War in South Ossetia (26 November 2004), International Crisis Group, Europe Report № 159, footnote 18, p. 3 1086 B. Coppieters, The Politicisation and Securitisation of Ethnicity: The Case of the Southern Caucasus, in: Civil Wars, Vol. 4, 2001, pp. 73-74 1087 O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, p. 442 1088 Keesing’s Record of World Events, Vol. 36, 1990, p. 37920 1089 Keesing’s Record of World Events, Vol. 37, 1991, p. 37971
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Soviet, Torez Kulumbegov, reportedly as he was on his way to talks with
Georgian leaders.1090
Thus, by early 1991, two phases of the conflict could be recorded in South
Ossetia: the first outbreak of violence (November 1989-January 1990) and
the second outburst of fighting (December 1990-March 1991).1091 On 25
November 1991, the Georgian parliament lifted the state of emergency in
the areas of South Ossetia, the decision aimed at reducing tension in the
region.1092 On 21 December 1991, the South Ossetian legislature declared
the region independent and confirmed the resolution on unification with
Russia.1093
The intensification of the South Ossetian conflict took place in January
1992, as the South Ossetian elites declared, once again, their intention to
unite the region with North Ossetia, i.e. with the Russian Federation. The
Georgian National Guard and Mkhedrioni forces began a siege of
Tskhinvali and outlying villages and the Ossetian National Guard responded
(with assistance of Russian troops which were also involved against
Georgian forces), this state of things leading to the military stalemate and
widespread destruction and instability.1094 Approximately 1,000 people
were killed, 115 villages destroyed and over 30,000 Georgians and
Ossetians displaced.1095
9.1.3 The post-conflict settlement and its implications
The Georgian Military Council released the chairman of the South Ossetian
Oblast Soviet from custody in February 1992. In the same year, this gesture
was followed by an intensive diplomatic effort initiated by Shevardnadze
and aimed at establishing a cease-fire. At the meeting with Yeltsin in June,
1090 Ibid. 1091 S. Demetriou, Politics from the Barrel of a Gun: Small Arms Proliferation and Conflict in the Republic of Georgia (1989-2001), in: Small Arms Survey, Occasional Paper No. 6, November 2002, p. 26 1092 Keesing’s Record of World Events, Vol. 37, 1991, p. 38583 1093 Ibid., p. 38657 1094 S. Demetriou, Politics from the Barrel of a Gun: Small Arms Proliferation and Conflict in the Republic of Georgia (1989-2001), in: Small Arms Survey, Occasional Paper No. 6, November 2002, p. 27 1095 Ibid.
297
at the Black Sea resort of Dagomys, Shevardnadze agreed that a joint
Russian-Georgian-Ossetian peacekeeping force should be deployed in the
region (it was virtually a Russian operation).1096
The function of monitoring was assumed by the Joint Control Commission
(JCC) consisting of five parties: Georgia, South Ossetia, Russia, the Russian
Republic of North Ossetia and the OSCE mission. Following flaws of the
JCC format have been emphasized: Russia was a strong supporter of the
South Ossetian side. The same can be said in respect of Russia’s North
Ossetian Republic (the latter is ethnically linked to South Ossetia). The
presence of these three in the JCC effectively meant that three votes were
present in favour of South Ossetia. At the same time, it has to be borne in
mind that the Russian Federation holds a veto in the OSCE, this latter
circumstance implying that Russia could hinder the OSCE mission from
playing a significant role.1097 As with regard to the negotiations, it has been
stressed that there was no role foreseen for the OSCE (or any other
international body) in the conflict and, by default, negotiations have been
hosted by Russia, the latter being increasingly clearly identifiable as a party
in the conflict.1098
A series of protocols to the agreement signed in Dagomys were initialed
including Protocol № 3, which defined the conflict zone – a circle of 15 km
radius from the centre of Tskhinvali, and a security corridor – a 14 km band
divided on both sides of the administrative border of the former South
Ossetian Autonomous Oblast. The South Ossetian authorities maintained
control over the districts of Tskhinvali, Dzhava, Znauri, and parts of
Akhalgori. The Georgian central government controlled the rest of
Akhalgori and several ethnic Georgian villages in the Tskhinvali district.1099
1096 J. Aves, Post-Soviet Transcaucasia, in: R. Allison (ed.), Challenges for the Former Soviet South, The Royal Institute of International Affairs, Russia and Eurasia Programme, Washington, D.C. / London, 1996, p. 169 1097 S. E. Cornell / S. Frederick Starr, The Caucasus: A Challenge for Europe, Central Asia-Caucasus Institute & Silk Road Studies Program, Silk Road Paper, June 2006, pp. 30-31 1098 Ibid., p. 31 1099 Georgia: Avoiding War in South Ossetia (26 November 2004), International Crisis Group, Europe Report № 159, p. 4
298
9.1.4 Further developments
On 19 November 1992, the South Ossetian legislature voted for the
secession from Georgia and integration with Russia.1100 In May 1996, the
“Memorandum on Measures to Ensure Security and Reinforce Mutual
Confidence Between the Parties to the Georgian-Ossetian Conflict” was
signed, according to which, the step-by-step demilitarization of the conflict
zone and reduction of the number of frontier posts and guards of the Joint
Peacekeeping Forces (JPKF) was agreed. The document called on the
Georgian and Ossetian sides to continue their negotiations aimed at
achieving a full-scale political settlement.1101 Attempts to start negotiations
on the political settlement did not begin until 1999 and have only reached an
intermediary stage with the signature of the Baden Declaration in 2000.1102
It has to be noted at this stage that the meetings of the Georgian and South
Ossetian leaders (Shevardnadze and Chibirov respectively) took place in
Vladikavkaz on 27 August 1996, in Dzhava on 14 November 1997 and in
Borjomi in June 1998.1103 They were followed by the November 2004
meeting between Georgian Prime Minister Zurab Zhvania and South
Ossetian leader Eduard Kokoity1104, the latter convocation preceded by the
armed clashes. The conflict over South Ossetia had been frozen for over a
decade as it resumed in 2004. The security situation had deteriorated
significantly by July, sporadic exchange of gunfire between ethnic Georgian
and ethnic Ossetian villages took place and in August, intense hostilities
between the South Ossetian forces and the Georgian troops broke out. A
ceasefire was signed on 18 August 2004 and a precarious peace remained in
place for the rest of the year.1105
On 14 November 2006 the South Ossetian Central Election Commission
declared the results of the November 12 voting. According to them, Kokoity
has been re-elected as “President” with 98.1% of votes and 99.88% voted in
1100 Ibid., p. 3 1101 Ibid., p. 5 1102 Ibid. 1103 Ibid., footnote 45 1104 Ibid. 1105 L. Harbom / P. Wallensteen, Armed Conflict and Its International Dimensions, 1946-2004, in: Journal of Peace Research, Vol. 42, 2005, p. 626
299
favor of independence in the referendum.1106 On 8 May 2007 the Georgian
parliament passed a resolution setting up the provisional administrative
entity in South Ossetia based on the respective enactment of the parliament
of April the same year.1107 On May 10, the Georgian President Saakashvili
appointed Tbilisi-loyal South Ossetian alternative leader Sanakoev as head
of the provisional administrative entity in South Ossetia.1108 But all
diplomatic tactics and peace overtures were shattered by the Russian-
Georgian war of August 2008 which had its own impact on the status of
South Ossetia and this effect will be considered below.
According to Coppieters, the South Ossetian leadership has been striving for
various objectives during the conflict in question: an upgrading of the
regional status to the republican level, reunification with the North Ossetian
Autonomous Republic which represents one of the constituent entities of the
Russian Federation, recognition as an independent member of the Russian
Federation and sovereign status.1109 The problematic issue of South
Ossetia’s status and its dimensions will be considered in the section
dedicated to the international legal context.
9.2 International legal context
9.2.1 The issue of South Ossetia’s secession from Georgia
It is evident that the unilateral acts of the South Ossetian leadership aimed at
upgrading the status of the AO (10 November 1989) and declaring South
Ossetia as a sovereign Soviet Democratic Republic (20 September 1990) did
not result in South Ossetia’s secession from Georgia. According to
Luchterhandt, the step made in 1989 contravened the constitution of the
1106 Breakaway S. Ossetia Announces Final Results of Polls [15 November 2006], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=14089&search= [accessed: 08.06.2009] 1107 Parliament Sets Up S. Ossetia Provisional Administration [8 May 2007], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=15080&search= [accessed: 08.06.2009] 1108 Sanakoev Appointed as Head of S. Ossetia Administration [10 May 2007], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=15089&search= [accessed: 08.06.2009] 1109 B. Coppieters, The Politicisation and Securitisation of Ethnicity: The Case of the Southern Caucasus, in: Civil Wars, Vol. 4, 2001, p. 76
300
USSR, namely its provisions which entailed conclusive enumeration of
autonomous republics and autonomous oblasts (Art. 85 para. 3 and Art. 87
para. 2) and the Georgian constitution of that period, on the basis of which,
the details connected with the regional status of South Ossetia were to be
decided.1110
At the same time, as we have already seen, unilateral upgrading of the status
in 1989 was annulled by the Georgian Supreme Soviet and the decision
made by the South Ossetian authorities in 1990 did not produce any
significant results due to the subsequent intervention of Tbilisi and Moscow.
It has to be noted at this stage that, in contrast to the central authorities of
the USSR, the abolition of the South Ossetian AO was recognized by the
RSFSR.1111 Furthermore, the Congress of the People’s Deputies of the
RSFSR requested the Georgian Supreme Council to restore the autonomous
status of the South Ossetian AO.1112 Moreover, the formulation “former
South Ossetian autonomous oblast” was used by the JCC in July 1992 as it
defined the conflict zone and the security corridor.1113
As in respect of the March 17 all-union referendum on the preservation of
the USSR, it has to be stressed that the considerations submitted in the
Abkhaz instance are also applicable to the case of South Ossetia. It can
merely be added that the turnout in the Ossete-controlled areas of South
Ossetia was 96% and overwhelming majority voted “yes”.1114
It is thus evident that, for the purposes of the present study, the status of
South Ossetia has to be considered in the context of its declaration of
1110 O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, p. 441 1111 See the Protocol on Meeting and Negotiations conducted between the Chairman of the Supreme Council of the Russian Soviet Federal Socialistic Republic and the Chairman of the Supreme Soviet of the Republic of Georgia (in Russian), Kazbegi, 23 March 1991, para.1, in: Konflikty v Abxazii i Yuzhnoi Osetii, Dokumenty 1989-2006 gg., (Conflicts in Abkhazia and South Ossetia, Documents 1989-2006), Prilozhenie k «Kavkazskomu sborniku», Vypusk № 1 (Supplement to the “Caucasian Digest”, Issue № 1), compiled and commented by M. A. Volkhonskii et al., Moscow, 2008, p. 246 1112 Resolution of the Congress of the People’s Deputies of the RSFSR on the Situation in South Ossetia (in Russian), 31 March 1991, para. 1, in: Ibid. 1113 Protocol № 3 of the Session of the Joint Control Commission of 12 July 1992 (in Russian), Vladikavkaz, available on the official website of the Office of the State Minister of Georgia for Reintegration, at: http://smr.gov.ge/file/1992-07-12_Protocol_3_Vladik.pdf [accessed: 10.06.2009] 1114 Keesing’s Record of World Events, Vol. 37, 1991, p. 38079
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independence on 21 December 1991 and the referendum of 19 January 1992
which served as a confirmation of that proclamation.1115 The objective of
my thesis is to examine the status of the “Republic of South Ossetia” which
was recognized by the Kremlin as a sovereign independent state on 26
August 2008.1116
9.2.2 An approach to the problem of South Ossetia’s status: the issue of
applicability of international legal norms to the de facto state
According to Krieger, the emergence of a notion of the “de facto regime” is
connected with the very essence of the decentralized international order in
which states cannot agree on the question of statehood of a respective
political entity. It follows that in this situation, in order to avoid the legal
vacuum, public international law developed the institute of the “de facto
regime”. The latter is granted certain legal standing, described as partial
international legal personality, on the basis of its existence (i.e. no specific
recognition is needed).1117 As the position of the “de facto regime” is
deduced from the decentralized structure of public international law, the
status of respective territorial entity has to be linked with the factual display
of sovereignty, i.e. the effectiveness.1118 Following conclusion has been
drawn by the author in respect of the status enjoyed by the “de facto
regime” on the basis of its effectiveness:
“Der Existenz eines effektiven Herrschaftsverbandes kann nicht jegliche
rechtliche Bedeutung genommen werden. Der Status des de facto-Regimes
bezeichnet den nicht zu unterschreitenden völkerrechtlichen Mindestbestand
1115 See O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, pp. 442-443 1116 See the Decree of the President of the Russian Federation on Recognition of the Republic of South Ossetia (in Russian), № 1261 (26 August 2008), available on the official web portal of the President of Russia, at: http://document.kremlin.ru/doc.asp?ID=047560 [accessed: 11.06.2009] 1117 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 94 1118 Ibid., p. 95
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an Rechtspositionen, der sich an die Effektivität eines Herrschaftsverbandes
knüpft.”1119
This state of affairs, denoting the legal standing of the de facto state, is
exactly the subject of examination of the present thesis. It is important at
this stage to refer to the case of South Ossetia and to examine the
applicability of the prohibition of the use of force to this entity bearing in
mind the citation concerning the legal position of de facto territorial units. I
have decided to examine this international legal norm in the context of
South Ossetia because of the war between Russia and Georgia in August
2008 and the theory developed by Frowein with regard to the applicability
of the rule in question to the de facto situations. But before addressing the
theory in question, it is meaningful to refer to the issue of an internal
conflict as a mode of creation of the de facto state.
9.2.3 The notion of an internal armed conflict and its significance in the
context of de facto statehood
9.2.3 (i) Civil strife and its internationalization – general
considerations
According to Falk, traditional international law provides a procedure for
designating the degree of formal acknowledgement by third states of the
claims made on behalf of the anti-government faction and respective levels
of the process in question have been described as follows: internal war
remains fully domesticated in the form of a “rebellion”, partially
internationalized on an ad hoc basis as “insurgency”, and fully
internationalized on an a priori basis in the form of “belligerency”.1120
The notion of rebellion is applied if the faction seeking to seize the power of
the state seems susceptible to rapid suppression by the common procedures
of internal security. If this regime of rebellion is applied to an occasion of
internal war, external support to the rebel faction represents an act of illegal
1119 Ibid., p. 256 (italics in original) 1120 R. A. Falk, Janus Tormented: The International Law of Internal War, in: J. N. Rosenau (ed.), International Aspects of Civil Strife, Princeton, 1964, p. 194
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intervention whereas the external help to the government of a respective
state is permissible.1121 The legal regime of insurgency, on the contrary,
represents international acknowledgement of the existence of an internal
war but it leaves each state the discretion to control the consequences of
such an acknowledgement. This hallmark distinguishes the concept of
insurgency from the notion of belligerency, the latter establishing a common
regime of rights and duties the existence of which does not depend on the
will of a particular state.1122 The concept of belligerency denotes the
formalization of the relative rights and duties of all actors vis-à-vis an
internal war. Thus, within the realm of international law, an internal war
with the status of belligerency is essentially equated to a war between
sovereign states. This state of affairs has the consequence that intervention
on behalf of one party is an act of war against the other.1123
It is thus evident that the theory of recognition of belligerency was shaped
by the conception that states were the only subjects of international law and
that they were the only proper enemies in a war. Accordingly, since a war
was supposed to take place only between two independent states, internal
armed conflicts did not fall within the definition of the war and insurgents,
in order to recognize them as a belligerent party, had to fulfill the
requirements denoting the need for a certain degree of state organization.1124
In accordance with the theory of belligerency, a war that took place within
the borders of a state could be regarded as the war, in the technical meaning
of the term in question, solely on the basis of recognizing insurgents as a
belligerent power, i.e. the recognition of belligerency was necessary in order
to treat organized armed groups as subjects of international law and for the
respective conflict to be subject to the laws of war.1125
Falk stresses the fact that the “old law” allowed belligerency to be
proclaimed when the insurgents controlled territory, established an effective
administering government, displayed a willingness to be bound by the laws
1121 Ibid., pp. 197-198 1122 Ibid., p. 199 1123 Ibid., p. 203 1124 L. Perna, The Formation of the Treaty Law of Non-International Armed Conflicts, International Humanitarian Law Series, Vol. 14, Leiden / Boston, 2006, p. 29 1125 Ibid., p. 30
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of war and the encroachment on the interests of world-wide concern took
place.1126 According to this author, it is essential within the realm of the
contemporary international system that substantial participation in the
internal war by private or public groups, external to the society experiencing
violence, serves as the basis for internationalizing the civil strife:
“The facts of external participation are more important than the extent or
character of insurgent aspirations as the basis for invoking transformation
rules designed to swing control from the normative matrix of “domestic
jurisdiction” to the normative matrix of “international concern.””1127
As in respect of the state of affairs established nowadays, following
principles have been suggested which internationalize conflicts: a) a conflict
is internationalized when it violates the principle of respect for sovereignty
(outside states intervene coercively in a civil war, or the effects of the civil
war spill over state boundaries into neighboring states); b) a conflict is
internationalized when it violates the principle of respect for fundamental
human rights (human rights violations occur systematically as part of a
conflict, or the subject matter at issue in the conflict is the vindication of
fundamental human rights); c) a conflict is internationalized when it violates
the principle of respect for humanitarian needs (populations are dislocated,
or famine is created by a conflict).1128 These considerations result from the
most important developments experienced by public international law and
they create a contemporary international legal environment for the
internationalization of civil strife.
9.2.3 (ii) Internal armed conflicts and the “old law”: recognition of
belligerency
Schachter defines internal conflicts “as conflicts within a state involving
violence between nationals of the same state.”1129 Hampson refers, in this
1126 R. A. Falk, Janus Tormented: The International Law of Internal War, in: J. N. Rosenau (ed.), International Aspects of Civil Strife, Princeton, 1964, p. 223 1127 Ibid., (emphases in original) 1128 M. J. Mattler, The Distinction Between Civil Wars and International Wars and Its Legal Implications, in: New York University Journal of International Law and Politics, Vol. 26, 1994, p. 656 1129 O. Schachter, The United Nations and Internal Conflict, in: J. N. Moore (ed.), Law and Civil War in the Modern World, Baltimore / London, 1974, p. 401
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sense, to “armed struggles within the frontiers of one State.”1130 As it is
evident from these statements, the notion of civil strife denotes essentially
the events that occur within the boundaries of one particular state and those
incidents fall under the scope of domestic jurisdiction of a respective
state.1131
The traditional approach to civil strife, i.e. the “old law” governing internal
conflicts can be described as follows: the issue was that of internal concern
of an affected state until the rebels were recognized by that state as
belligerents. In the latter case the civil strife was treated as an international
conflict and international law of war became applicable.1132 It follows that
recognition of belligerency was the issue of overwhelming importance with
regard to the status of the rebel faction, as Schindler puts it, “Recognition of
belligerency was essentially the same as recognition of a state of war, but
was used with regard to civil wars.”1133
The consequence of the recognition of belligerency was that the law of war
became applicable between the government of a respective state and the
insurgent faction and, at the same time, the law of neutrality governed the
relations between the parties involved in the conflict and third states.1134
Higgins has summarized the criteria which traditional international law
deemed necessary for the application of the status of belligerency:
“[...] first, the existence within a state of a widely spread armed conflict;
second, the occupation and administration by rebels of a substantial portion
of territory; thirdly, the conduct of hostilities in accordance with the rules of
war and through armed forces responsible to an identifiable authority; and
fourth, the existence of circumstances which make it necessary for third 1130 F. Hampson, Human Rights and Humanitarian Law in Internal Conflicts, in: M. A. Meyer (ed.), Armed Conflict and the New Law: Aspects of the 1977 Geneva Protocols and the 1981 Weapons Convention, London, 1989, p. 55 1131 See A. Cassese, The Spanish Civil War and the Development of Customary Law concerning Internal Armed Conflicts, in: A. Cassese, (ed.), Current Problems of International Law, Essays on U.N. Law and on the Law of Armed Conflict, Milan, 1975, p. 287 1132 See R. R. Baxter, Ius in Bello Interno: The Present and Future Law, in: J. N. Moore (ed.), Law and Civil War in the Modern World, Baltimore / London, 1974, p. 518 1133 D. Schindler, State of War, Belligerency, Armed Conflict, in: A. Cassese (ed.), The New Humanitarian Law of Armed Conflict, Studies in International Law 1, Naples, 1979, p. 3 (italics in original) 1134 See Ibid.
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parties to define their attitude by acknowledging the status of
belligerency.”1135
It follows that the recognition of belligerency was regarded as a mode of
internationalization of a civil strife, i.e. of a matter essentially being within
the scope of a state’s domestic jurisdiction. Thus, the issue in question
depended on the subjective decision of an affected state. This means that the
regime under the “old law” was a subjective one. Further developments
within the realm of public international law have to be examined in this
context and the attitude of the contemporary international legal order has to
be introduced.
9.2.3 (iii) Civil wars and their legal regulation
It can be asserted that the process of creation of the de facto state rests on
the domestic strife with a relatively high degree of intensity, essentially the
typical civil war, the latter representing the mode of emergence of this kind
of territorial entity. It is important at this stage to introduce the hallmarks of
the notion of a civil war:
“A civil war is a war between two or more groups of inhabitants of the same
State. A civil war may be fought for control of the government of a State, or
it may be caused by the desire of part of the population to secede […] and
form a new State.”1136
As it is evident from this definition, the civil war encompasses two
dimensions which, at the same time, represent the objectives of the rebel
faction: internal (control of the government of a state) and external
(secession). It is the external dimension of the civil war which is decisive
with regard to the emergence and existence of the de facto state as the
notion of secession, namely the secessionist attempt, is a “genuine” way of
creation of the entity in question.
1135 R. Higgins, International Law and Civil Conflict, in: E. Luard (ed.), The International Regulation of Civil Wars, London, 1972, pp. 170-171 1136 M. B. Akehurst, Civil War, in: R. Bernhardt (ed.), EPIL, Vol. 1 (1992), p. 597
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The issue of overwhelming importance is to clarify the question, whether
the civil war, as such, is governed by the domestic legal system or the rules
of public international law. Falk has emphasized the fact that, despite the
terminology, the notion of civil war is not and has never been the issue of
entirely internal character.1137 This author distinguishes among following
five manifestations of the notion of civil war: standard civil war, war of
hegemony, war of autonomy, war of separation, war of reunion.1138 There is
no need to describe all these types of the civil war, but it has to be stressed
that the mode of the creation of the de facto state is expressed through the
concept of a war of separation.
Falk refers to the notions of ethnic, religious and economic separatism as to
the underlying reasons in the context of the secessionist attempt and
explains the essence of secessionist wars in a following way: “Wars of
secession are common in states that try to impose homogeneous standards
upon a heterogeneous social, ethnic, and political tradition.”1139 Secession
remains the issue of overwhelming importance in the context of the
emergence and existence of the de facto state but the question of the law
governing civil strife has to be addressed at this point.
Castrén draws following conclusion with regard to the rules governing civil
wars: “civil war as a judicial phenomenon lies within the realm of both
municipal and international law.”1140 Bearing in mind possible
consequences of a civil war, namely the emergence of a new state, the
formation of a local government by the rebel faction or the succession of a
new government1141, it becomes apparent that the notion of civil war, as
such, has its own impact on the international plane, especially if it
culminates in the birth of a new state. But a civil war can also culminate in
the birth of the de facto state and the latter constellation falls under the
scope of the present study.
1137 R. A. Falk, Introduction, in: R. A. Falk (ed.), The International Law of Civil War, Baltimore / London, 1971, p. 1 1138 Ibid., pp. 18-19 1139 Ibid., p. 19 1140 E. Castrén, Civil War, Helsinki, 1966, p. 22 1141 Ibid., p. 25
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According to Lombardi, it is the characteristic feature of civil wars that they
represent internal armed conflicts which essentially fall within the scope of
the sovereignty of respective states, but because of growing
interdependence, civil wars became the expressions of international tensions
and controversies and the threat to the peace and international security is
inherent in modern civil wars.1142 It has been stated that both, internal and
international armed conflicts meet the requirements of the material concept
of war because, in both cases, there are armed conflicts, with political
objectives, between organized entities which can guarantee the observance
of the rules of war by organizational means.1143
It follows that the rigid conceptual differentiation between a civil war and
an international war is practically impossible and it has to be noted that this
is again the result of internationalization of the notion of domestic strife.
Lombardi makes the following statement with regard to the latter
manifestation:
“Ein internationalisierter Bürgerkrieg liegt vor, wenn Drittstaaten
militärisch intervenieren, wobei die Rechtsstellung der Aufständischen
sicherlich dann verbessert werden müßte, wenn allein zugunsten der
etablierten Regierung interveniert wird.”1144
The issue of overwhelming importance, the central question with regard to
the internationalization of the civil war, as such, remains the fact that this
transformation does not merely depend on geographical factors, it is rather a
matter of intensity and the degree of outside participation and subsequent
spread of the motives and consequences of a respective war.1145
According to Cassese, the state of things with regard to civil strife is that
certain basic rules of warfare do not benefit all kinds of internal armed
conflicts but solely the situations of large-scale civil wars, i.e. the cases in
which rebels form organized entities that effectively control territories on
1142 A. V. Lombardi, Bürgerkrieg und Völkerrecht, Die Anwendbarkeit völkerrechtlicher Normen in nicht-zwischenstaatlichen bewaffneten Konflikten, Schriften zum Völkerrecht, Bd. 53, Berlin, 1976, p. 353 1143 Ibid., p. 347 1144 Ibid., p. 351 1145 See I. Detter, The Law of War, 2nd ed., Cambridge UP, 2000, p. 47
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the basis of the administration and organized armed forces. It is required in
addition that the hostilities between respective parties must reach a
considerable degree of intensity and duration.1146
Profound changes denoting the problematic character of wars fought within
the boundaries of particular states, i.e. internal armed conflicts, have
produced an effective means of the creation of de facto states, viz. civil wars
aimed at secession. It can be asserted that modern secessionist wars are the
issues of essential relevance to the question of the emergence of de facto
states and it has to be borne in mind that there are internal conflicts of sui
generis nature in the sense that they possess both, internal and external
dimensions. Burgos refers in this context to “the so-called ‘mixed’ armed
conflicts, i.e. conflicts that are both internal and international.”1147 The issue
of decisive importance is to examine the impact of the latter on the status of
the de facto state.
9.2.4 Article 2 (4) of the UN Charter – its content and dimensions
Unfortunately, the history of public international law is the history of wars.
Bearing in mind the fact that, for a long period of time, jus ad bellum was
regarded as a genuine expression of sovereignty, it is not surprising that the
notion of war was instrumental to promotion of respective goals of different
sovereigns. But it must be noted that international society tried to balance
this situation and it introduced the notion of jus in bello. Since the Peace of
Westphalia (1648), which laid the foundation of the modern international
order, public international law has experienced significant changes and most
important of them are following notions: “partielles Kriegsverbot” of the
1146 A. Cassese, The Spanish Civil War and the Development of Customary Law concerning Internal Armed Conflicts, in: A. Cassese, (ed.), Current Problems of International Law, Essays on U.N. Law and on the Law of Armed Conflict, Milan, 1975, p. 288 1147 H. S. Burgos, The application of international humanitarian law as compared to human rights law in situations qualified as internal armed conflict, internal disturbances and tensions, or public emergency, with special reference to war crimes and political crimes, in: F. Kalshoven / Y. Sandoz (eds.), Implementation of International Humanitarian Law, Research papers by participants in the 1986 Session of the Centre for Studies and Research in International Law and International Relations of the Hague Academy of International Law, Dordrecht, 1989, p. 1 (emphasis in original)
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Covenant of the League of Nations1148, “generelles Kriegsverbot” of the
Briand – Kellogg Pact1149 and “generelles Gewaltverbot” of the Charter of
the UN.1150 Indeed, Art. 2 (4) of the Charter reads as follows:
“All Members shall refrain in their international relations from the threat or
use of force against the territorial integrity or political independence of any
State, or in any other manner inconsistent with the Purposes of the United
Nations.”1151
The issue of the content of Art. 2 (4) of the Charter is a complex one and it
cannot be clarified solely by the reference to the provision in question. First
of all, it has to be stressed that the prohibition of the use of force, as
enshrined in the Charter of the UN, refers solely to the notion of armed
force.1152 According to Randelzhofer, the reference in the preamble of the
Charter to the need for assurance that armed forces shall not be used in the
interests of one particular state, the teleological interpretation of the
provision in question and history of the origins of the Charter, all these
factors lead us to the conclusion that it is the use of armed force which is
meant under the scope of Art. 2 (4) of the UN Charter.1153
The ICJ has dealt with the issue in question in the Nicaragua Case when it
assessed the role of the US in the context of activities displayed by contras
against the government of the Republic of Nicaragua. The Court stressed
that the Charter does not cover the whole area of regulation of the use of
force on the international plane:
“On one essential point, this treaty itself refers to pre-existing customary
international law; this reference to customary law is contained in the actual
text of Article 51, which mentions the “inherent right” (in the French text
the “droit naturel”) of individual or collective self-defence, […]. The Court
therefore finds that Article 51 of the Charter is only meaningful on the basis
1148 See S. Hobe / O. Kimminich, Einführung in das Völkerrecht, 8. Aufl., 2004, p. 45 1149 See Ibid., p. 48 1150 See Ibid., p. 50 1151 Article 2 (4) of the Charter of the United Nations, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995, pp. 3-4 1152 A. Randelzhofer zu Art. 2 Ziff. 4 Rdnr. 15, in: B. Simma (Hrsg.), Charta der Vereinten Nationen, Kommentar, München, 1991, p. 73 1153 Ibid.
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that there is a “natural” or “inherent” right of self-defence, and it is hard to
see how this can be other than of a customary nature, even if its present
content has been confirmed and influenced by the Charter.”1154
It has been further asserted that the Charter does not regulate all aspects of
the notion of self-defence, e.g. it does not contain the rule concerning the
requirement of proportionality of the measures taken against the armed
attack, whereas this criterion is an established rule of customary
international law.1155 It follows that, according to the Court’s view, the
presence of Art. 51 of the UN Charter denotes the parallel existence of the
rules of treaty law and customary international law. The Court emphasized
the fact that the fields governed by these two sources of law do not
necessarily overlap and, even if those spheres were identical, this would not
prejudice the separate applicability of respective rules of the treaty law, on
the one hand, and the customary international law, on the other.1156 As with
regard to the prohibition of the use of force and its status within the realm of
public international law, the Court made following important statement:
“[…] the Charter gave expression in this field to principles already present
in customary international law, and that law has in the subsequent four
decades developed under the influence of the Charter, to such an extent that
a number of rules contained in the Charter have acquired a status
independent of it. The essential consideration is that both the Charter and
the customary international law flow from a common fundamental principle
outlawing the use of force in international relations.”1157
It follows that the ICJ acknowledged the validity of prohibition of the use of
force as a rule of customary international law and as a fundamental norm
enshrined in the Charter of the UN and the independent existence of the rule
in question (independent from the UN Charter) has been confirmed. Indeed,
prohibition of the use of force has acquired universality and its validity does
not depend on the existence of the UN, Verdross refers in this sense to its 1154 Military and Paramilitary Activities in and against Nicaragua (Nicaragua v. United States of America), Merits, Judgment, I.C.J. Reports 1986, p. 14 (p. 94, para. 176; emphases in original) 1155 Ibid. 1156 Ibid. (p. 94, para. 175) 1157Ibid. (pp. 96-97, para. 181)
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“absolute Geltung”1158. Art. 2 (4) of the UN Charter represents an
expression of the most important development within the corpus of public
international law and is itself a peremptory norm of the international legal
order, i.e. the rule of jus cogens.1159
There are also respective exceptions to the rule concerning the prohibition
of the use of force. Brownlie has emphasized the fact that Art. 2 (4) of the
UN Charter refers to the general prohibition of the use of force in the sense
of actions taken by particular states and, according to the statement of this
eminent scholar, justifications for the actions mentioned above “must, in the
framework of the Charter, be specific and in a strict sense exceptional.”1160
With regard to the individual cases of exceptions, it must be noted that the
Charter of the UN contains the provisions concerning the measures against
ex-enemy states1161 and the possibility that a single state can be authorized
to act in this context on behalf of the organization. But it has to be stressed
that these provisions, referring to ex-enemy states, “have become obsolete,
as all former enemy States now are UN members.”1162
The issue of great importance, which represents an exception from the rule
regarding the prohibition of the use of force, is the right of individual and
collective self-defence against an armed attack as enshrined in Art. 51 of the
UN Charter. According to Falk, “Article 51 limits the right of self-defense
to action taken in response to prior armed attacks across international
boundaries.”1163 The significance of Art. 51 of the UN Charter is twofold:
on the basis of the norm in question, the use of force is explicitly allowed
for the purpose of self-defence and the prohibition of the use of force is
broken. At the same time, the provision permits the use of forcible reaction
as an individual measure, outside the scope of the collective security system,
1158 A. Verdross, Die Quellen des universellen Völkerrechts, Eine Einführung, 1. Aufl., Freiburg, 1973, p. 29 1159 See B. Reschke, Gewaltverbot, in: H. Volger (Hrsg.), Lexikon der Vereinten Nationen, München, 2000, p. 198 1160 I. Brownlie, The Principle of the Non-Use of Force in Contemporary International Law, in: W. E. Butler (ed.), The Non-Use of Force in International Law, Dordrecht, 1989, p. 22 1161 See Articles 53 and 107 of the Charter of the United Nations, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995, pp. 18, 33 1162 A. Randelzhofer, Use of Force, in: R. Bernhardt (ed.), EPIL, Vol. 4 (2000), p. 1252 1163 R. A. Falk, Janus Tormented: The International Law of Internal War, in: J. N. Rosenau (ed.), International Aspects of Civil Strife, Princeton, 1964, p. 239
313
and breaks also the system of the UN aimed at the collective maintenance of
international peace and security: “Der Begriff „armed attack“ muß daher
eine Schädigungshandlung beschreiben, deren Vorliegen einen Verzicht auf
die Einhaltung dieser beiden Grundsätze rechtfertigt.”1164
According to Rifaat, the UN Charter developed following dimensions of the
right to self-defence: it was extended to include individual as well as
collective self-defence, it was limited to cases where an “armed attack”
occurs against a member of the UN, and it was regarded as a temporary
right to be used only if the need arose until the UN Security Council has
taken the measures necessary to maintain international peace and
security.1165 It follows that the wording of Art. 51 does not allow its use,
unless an armed attack has occurred and no allegations of economic or
ideological aggression can be applied as a plea or excuse for an action in
self-defence.1166
As in respect of the characteristic of an “armed attack”, it has been
emphasized that such an attack must be of serious nature that threatens the
inviolability of the attacked state, and consequently, small border incidents
do not evoke the provision of Art. 51 in so far as there is no unequivocal
intention of attack.1167 According to Hummrich, the armed attack requires
the increased use of force which would overreach the dimensions of Art.
2(4) of the UN Charter:
“Der „bewaffnete Angriff“ ist auch der tendenziell engere Begriff
gegenüber der Aggression gemäß Art. 39 CVN. Ob ein bewaffneter Angriff
vorliegt, richtet sich nach Umfang oder Auswirkung der eingesetzten
Gewalt, wobei eine Gesamtbewertung aller Umstände des jeweiligen Falles
vorgenommen werden muß.”1168
1164 K. Kersting, „act of aggression“ und „armed attack“, Anmerkungen zur Aggressionsdefinition der UN, in: NZWehrr, 23. Jg., 1981, p. 136 (emphasis in original) 1165 A. M. Rifaat, International Aggression, A Study of the Legal Concept: Its Development and Definition in International Law, 2nd printing, Stockholm, 1979, p. 124 1166 Ibid., p. 125 1167 Ibid. 1168 M. Hummrich, Der völkerrechtliche Straftatbestand der Aggression, Historische Entwicklung, Geltung und Definition im Hinblick auf das Statut des Internationalen Strafgerichtshofes, P. Kunig / W. Rudolf (Hrsg.), Völkerrecht und Außenpolitik, Bd. 59, Baden-Baden, 1. Aufl., 2001, pp. 203-204 (emphasis in original)
314
The interaction between Art. 2 (4) and Art. 51 of the UN Charter has been
clarified in a following manner: every single “armed attack” represents the
“force” in the sense of the Art. 2 (4) of the UN Charter, whereas not every
use of force amounts to the “armed attack”, as such, and it follows that self-
defence against the use of force not amounting to the “armed attack” is
forbidden by law.1169
The requirement of proportionality is inherent in the notion of self-defence.
Thus, the defending state has to observe the principle of proportionality,
because the measures exceeding the proper reaction to the unlawful attack
may be considered as aggressive measures by the defendant state:
“[...] if the defendant State, after the moment the attack was stopped and the
danger was released, advanced its military operations in the territory of the
other State, such additional measures would be aggressive in character and
the defendant State would turn to be an aggressor itself. Accordingly, the
occupation of foreign territory, even if it resulted from an act of justifiable
self-defence, constitutes by itself an act of armed aggression.”1170
Indeed, it has been stressed in this respect that actions taken in self-defence
may themselves constitute threats to the peace and the UN Security Council
may properly order that states refrain from such actions in order to restore
international peace and security, i.e. the Security Council has the authority,
under Chapter VII of the Charter, to suspend a state’s right of self-
defence.1171
Thus, the principle of proportionality requires that the harm caused by the
defender’s action must be proportional to the harm avoided and where
defensive measures exceed offensive ones, the defender will be presumed to
have acted unlawfully and may forfeit the protection that law otherwise
confers, i.e. such a defender is then liable for using an excess of forces
1169 Ibid., p. 192 1170 A. M. Rifaat, International Aggression, A Study of the Legal Concept: Its Development and Definition in International Law, 2nd printing, Stockholm, 1979, p. 127 1171 M. J. Mattler, The Distinction Between Civil Wars and International Wars and Its Legal Implications, in: New York University Journal of International Law and Politics, Vol. 26, 1994, p. 693
315
beyond that which the law allows.1172 According to the proportionality
principle, when a country is the victim of an armed attack and acts in self-
defence, it must do no more than is required to repel the attack. So, an all
out war will not be a proportionate response to a small scale incursion, but
will be a legitimate response where the armed attack on the victim state is of
a magnitude to threaten the continued existence of that state.1173
Following general principles of the exercise of the right to self-defence have
been summarized: a) the necessity for a forcible reaction must be instant (or
at least extremely urgent), overwhelming, leaving no choice of means and
no moment for deliberation; b) the forcible reaction must be exclusively
directed to repel the attack of the attacking state; c) the force used must be
proportionate to the purpose of repelling the attack; d) the forcible reaction
must be terminated as soon as the attack has come to an end or the UN
Security Council has taken effective measures to restore peace and security
and e) the forcible reaction must comply with humanitarian law.1174
As a result of this state of affairs, it has been stressed that an act of
aggression is committed by a state that responds disproportionately to an
armed attack.1175 At the same time, it is true that a state, the territory of
which has been illegally occupied, has the right of self-defence and this type
of self-defence cannot be considered to be illegal use of force under Art. 2
(4) of the UN Charter, so this right to self-defence is an integral part of
international jus cogens.1176 As in respect of the legal status of the principle
of proportionality, it has to be noted that this manifestation has been
described as “gesicherter Rechtssatz des Völkergewohnheitsrechts”1177.
Further category of exceptions from the rule concerning the prohibition of
the use of force refers to the enforcement measures taken by the UNSC.
1172 O. Olusanya, Identifying the Aggressor under International Law, A Principles Approach, Bern, 2006, p. 107 1173 R. L. Griffiths, International Law, the Crime of Aggression and the Ius Ad Bellum, in: International Criminal Law Review, Vol. 2, 2002, p. 330 1174 Ibid., p. 331 1175 Ibid., p. 332 1176 F. Malekian, International Criminal Law, The Legal and Critical Analysis of International Crimes, Vol. I, Uppsala, 1991, pp. 67-68 1177 K. Kersting, „act of aggression“ und „armed attack“, Anmerkungen zur Aggressionsdefinition der UN, in: NZWehrr, 23. Jg., 1981, p. 141
316
According to Art. 24 (1) of the UN Charter, the SC bears primary
responsibility in the context of maintenance of international peace and
security.1178 The SC can determine “the existence of any threat to the peace,
breach of the peace, or act of aggression” (Art. 39 of the UN Charter)1179,
and if it does so and considers that measures under Art. 41 of the Charter
will be inadequate or have proved to be inadequate, this principal organ of
the UN, according to Art. 42, has the competence to take action involving
the use of armed force.1180
On the basis of Art. 25 of the UN Charter, members of the Organization are
obliged to accept and carry out respective decisions of the SC.1181 It has to
be stressed at this point in the context of an approach embodied in the UN
Charter that this document refers to the manifestations such as “threat or use
of force”, “threat to the peace”, “breach of the peace”, “act of aggression”
and these expressions cover, in contrast to Art. 2 (4), a wide range of
gradations of intensity of coercion, including not only force, but also all
applications of coercion of a lesser intensity or magnitude.1182
These are exceptions to the rule concerning the prohibition of the use of
force on the international plane and theoretical considerations regarding the
norm in question. It is important at this point to refer to the problem of
application to de facto situations of the rule outlawing the threat or use of
force.
1178 See Article 24 (1) of the Charter of the United Nations, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995, p. 10 1179 See Article 39 of the Charter of the United Nations, in: Ibid., p. 14 1180 See Article 42 of the Charter of the United Nations, in: Ibid., p. 15 1181 See Article 25 of the Charter of the United Nations, in: Ibid., p. 10 1182 A. V. W. Thomas / A. J. Thomas, Jr., The Concept of Aggression in International Law, Dallas, 1972, p. 22
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9.2.5 The problem of applicability of Article 2 (4) of the UN Charter to
the relations between a “mother state” and the de facto territorial entity
and the Georgia – South Ossetia case
9.2.5 (i) Frowein’s theoretical approach concerning the
internationalization of relations between a “parent state” and the
“de facto regime”
Frowein’s theory concerning the applicability of the prohibition of the use
of force to de facto states is based on the assertion that de facto territorial
entities established after the Second World War enjoy the factual
international status. The content of this international status is effectiveness
of respective entities and existence of international relations with them.
Frowein’s statement in this regard reads as follows:
“Wenn Art. 2, 4 der UN-Charter das Gewaltverbot auf die internationalen
Beziehungen beschränkt, so ist der erkennbare Sinn der Abgrenzung der,
daß die Staaten die Gewalt nicht mit dem Ziel der Ausdehnung ihres
Hoheitsbereiches gebrauchen dürfen, daß sie sie aber wohl zur Abwehr
eines Angriffes oder einer Bedrohung aus ihrem eigenen Hoheitsbereich
einsetzen können. Die Anwendung der Gewalt durch den Staat im normalen
Bürgerkrieg ist eine Reaktion auf Bestrebungen zur Änderung des status
quo im Innern. Aus diesem Rahmen des Bürgerkrieges fällt der Angriff auf
ein effektiv unabhängiges de facto-Regime, das sich in einem Staatsteil
etabliert hat, heraus. Hier hat die Gewaltanwendung das Ziel, den faktischen
Hoheitsbereich des Staates, der das Gebiet des de facto-Regimes in
Anspruch nimmt, zu erweitern. Insofern ist hier die Lage der bei dem
Angriff auf einen fremden Staat vergleichbar.”1183
As it is evident from the statement quoted above, Frowein makes an
interesting transformation of the nature of relations between a “mother
state” and respective de facto territorial unit and claims, for the latter, the
protection under the principle concerning prohibition of the use of force. 1183 J. Abr. Frowein, Das de facto-Regime im Völkerrecht: Eine Untersuchung zur Rechtsstellung »nichtanerkannter Staaten« und ähnlicher Gebilde, Max-Planck-Institut für ausländisches öffentliches Recht und Völkerrecht, H. Mosler (Hrsg.), Beiträge zum ausländischen öffentlichen Recht und Völkerrecht 46, Köln / Berlin, 1968, p. 53 (italics in original)
318
This transformation is expressed through the fact that the writer has
“internationalized” relations between a “mother state” and a de facto
territorial entity created on respective territory. It follows that, as the de
facto state represents a firmly established effective entity, this effectiveness
serves as the basis of application of the jus cogens norm regarding the
prohibition of the use of force and the same feature of the de facto state has
to be considered as a foundation of the maintenance of “international
relations” by the latter.
It has to be stressed at this point that Frowein’s theory concerning the
application of Art. 2 (4) of the UN Charter to de facto states rests on the
very nature of the environment in which these territorial entities exist:
“Wesentlich ist nur die Tatsache der befriedeten, nicht mit Anwendung von
Waffengewalt bekämpften Existenz von de facto-Regimen und ihrer
faktisch internationalen Stellung. Unter internationaler Stellung wird dabei
die effektive Unabhängigkeit von dem »Mutterstaat« und die Existenz
internationaler Beziehungen des de facto-Regimes verstanden.”1184
It has been emphasized that only if the prohibition of the use of force is
applied to the factual international relations between respective parts of
divided states, which are independent from each other, can it be said that the
use of force is widely prohibited on the international plane.1185 Thus, the
following conclusion has been drawn in this respect:
“Insofern erschiene es bei Berücksichtigung des Sinnes der Beschränkung
des Gewaltverbotes auf die internationalen Beziehungen durchaus
folgerichtig, das Verbot immer dann anzuwenden, wenn ein Staat durch
Gewalt versucht, seinen faktischen Hoheitsbereich auszudehnen, nachdem
eine befriedete Situation eingetreten ist. Das müßte dann umgekehrt
entsprechend auch für das de facto-Regime gelten.”1186
Frowein emphasizes that in order to make, nowadays, the prohibition of the
use of force effective, it is important to apply it to de facto territorial
1184 Ibid., p. 52 (italics and emphasis in original) 1185 Ibid., pp. 52-53 1186 Ibid., pp. 53-54 (italics in original)
319
entities, otherwise it will be impossible for public international law to fulfill
comprehensively its task of safeguarding the international peace through
legal norms. So, the principle of absolute validity of the prohibition of the
use of force requires its application to the de facto states features of which
have been described above.1187 It has to be noted at this point that the notion
“befriedete Unabhängigkeit” has been clarified by the author: when a
respective “mother state”, for months or years, cannot affect the situation in
order to alter the state of affairs denoting effective independence of the de
facto state, the application of the prohibition of the use of force has to be
approved of, because the situation has been “pacified”.1188
The reasoning denoting the applicability of the prohibition of the use of
force to de facto states reads as follows: “Das Gewaltverbot soll den Frieden
schützen und daher genügt die Existenz einer befriedeten internationalen
Situation für seine Anwendbarkeit.”1189 It has been stressed that de facto
states enjoy the protection under the rule prohibiting the use of force on the
international plane and are themselves obliged to observe the norm in
question. Thus, the lack of substantive recognition does not result in non-
applicability of the legal norm being one of the most important foundations
of contemporary international law: “Es kommt dafür vielmehr allein auf die
Existenz eines effektiv Hoheitsgewalt ausübenden de facto-Regimes an, das
eine befriedete und faktisch internationalisierte Stellung einnimmt.”1190
Thus, Hummrich stresses that the addressees of the rule prohibiting the use
of force are states, and, according to the prevailing view in the legal
scholarship, “de facto regimes” the characteristics of which have been
described above.1191
1187 Ibid., pp. 66-67 1188 Ibid., p. 67 1189 Ibid., p. 68 1190 Ibid., p. 69 (italics in original) 1191 M. Hummrich, Der völkerrechtliche Straftatbestand der Aggression, Historische Entwicklung, Geltung und Definition im Hinblick auf das Statut des Internationalen Strafgerichtshofes, P. Kunig / W. Rudolf (Hrsg.), Völkerrecht und Außenpolitik, Bd. 59, Baden-Baden, 1. Aufl., 2001, p. 184
320
9.2.5 (ii) Criticism of Frowein’s theoretical approach and its
specification
According to Hillgruber, Frowein’s theory depicted above is at odds with
the very essence of the notion of non-recognition because it disregards the
will of states, not to apply public international law in relations with
respective (de facto) territorial entities, although the concept of recognition
is exactly the procedure which entails the binding decision on the existence
of prerequisites of statehood.1192 The author stresses that the so-called “de
facto regime” does not fall under the protection of the prohibition of the use
of force on the basis of its mere factual existence for a significant period of
time and virtual international status, but solely on the ground of an
international legal act which grants the territorial entity in question this kind
of protection:
“Wenn und soweit einem staatlichen Gebilde ein und sei es auch nur
begrenzter, unverletzlicher internationaler Status durch einen es nicht als
Staat im völkerrechtlichen Sinne anerkennenden, anderen Staat oder durch
die organisierte Staatengemeinschaft mit verbindlicher Wirkung für den
nicht anerkennenden Staat eingeräumt worden ist, ihm also in diesem Sinne
die „Anerkennung“ zumindest teilweiser Völkerrechtssubjektivität zuteil
geworden ist, gelten das Gewaltverbot und, je nach dem, wie der
völkerrechtliche Status des staatlichen Gebildes im einzelnen beschaffen ist,
möglicherweise auch andere allgemeine Regeln des Völkerrechts. Es kommt
also auf die in jedem Einzelfall zu untersuchende Rechtslage, nicht allein
auf die faktische Situation an.”1193
It has been emphasized that a certain degree of integration of a respective
territorial entity in the international legal system, achieved through
(collective) recognition and granting the respective territorial entity full or
partial international legal capacity (i.e. own international legal status), is
required in order to enjoy the protection of the rule prohibiting the use of
1192 C. Hillgruber, Die Aufnahme neuer Staaten in die Völkerrechtsgemeinschaft, Das völkerrechtliche Institut der Anerkennung von Neustaaten in der Praxis des 19. und 20. Jahrhunderts, in: H. Schiedermair (Hrsg.), Kölner Schriften zu Recht und Staat, Bd. 6, Frankfurt am Main et al., 1998, p. 754 1193 Ibid., pp. 755-756 (emphasis and italics in original)
321
force in international relations.1194 It follows that the mere factual existence
is insufficient in this context, something more is required. The following
conclusion has been drawn by the author in this respect:
“Nicht auf die tatsächliche, sondern auf die völkerrechtliche Stabilisierung
und Befriedung des de facto-Régimes kommt es an. Ohne eine ihm in
diesem Sinne zuteil gewordene Anerkennung steht das de facto-Régime
nicht unter völkerrechtlichem Schutz. Auch hier – wie allgemein im
Völkerrecht – gibt es keine normative Kraft des Faktischen.”1195
It has been concluded that, in order to apply the rule prohibiting the use of
force on the international plane to a de facto state, it is necessary to vest the
respective territorial entity with the status implying protection by the legal
norm in question on the basis of granting recognition (in the broad sense).
As one possible expression of this state of affairs has been regarded the
fixing of lines of demarcation on the ground of an agreement reached
between respective belligerent parties, or set up by the occupying power, or
made compulsory for the so-called “divided countries” (divided into
respective occupied zones) as part of the occupying regime imposed on
them. In such cases, respective demarcation lines fall under the protection of
the rule prohibiting the use of force as enshrined in Art. 2 (4) of the UN
Charter.1196
The case of two German states has been regarded as an example confirming
this state of things. It has been stressed that exactly the regime described
above, not merely the GDR’s effective existence, guaranteed the application
of the prohibition of the use of force to the inner German zonal frontier and,
accordingly, between the GDR and the FRG, from 1949 until the conclusion
of the Basic Treaty on 21 December 1972 (the latter recognizing the
absolute validity of the prohibition of the use of force in relations between
two German states) or their admission to the membership of the UN in
September 1973.1197
1194 Ibid., p. 759 1195 Ibid. (italics in original) 1196 Ibid., pp. 759-760 1197 Ibid., p. 760
322
It has been stressed by the author that the applicability of international legal
rules to interstate relations depends on a certain degree of recognition by the
members of the international community of states. Such recognition can also
be expressed through establishing contractual relations with a respective
territorial entity, or the latter can be held liable for certain acts on the
international plane. According to the author, all these circumstances confirm
that, in contrast to Frowein’s theory implying the establishment of the
international legal personality of a “de facto regime” irrespective of its
recognition as a state, the recognition of, at least, the partial international
legal capacity of the entity in question is required and the status of the de
facto state, enjoying the protection of international legal norms, is an
expression of this kind of recognition.1198
One important legal problem for the de facto state is in this context the
circumstance that due to its factual “ousting” from the territory controlled
by the de facto state, the “mother state” loses what is called in German
“Gebietshoheit”, but not the territorial sovereignty. For a third state which
does not recognize the effective territorial entity in question as a state, but
regards it as a legal nullity, the “mother state” remains the holder of the
territorial sovereignty.1199
As it was mentioned in the present study, the notion of a line of demarcation
serves as a vehicle in furtherance of the application of the prohibition of the
use of force to the de facto state and, in doing so, it backs an effective
territorial entity in solving the problem of the territorial sovereignty
described above, it bridges the gap, it remedies the defects connected with
the lack of the territorial sovereignty. In this context, Hillgruber refers to the
Friendly Relations Declaration of 1970 and quotes a respective passage
concerning the application of the rule prohibiting the use of force to the
regime governing international lines of demarcation.1200
Wright emphasizes the fact that Art. 39 of the UN Charter does not apply to
internal strife, as such, but according to this author, experience has shown
1198 Ibid., p. 763 1199 Ibid., pp. 763-764 1200 Ibid., p. 759
323
that the domestic strife can develop into an international war.1201 The main
problem is, in this context, to draw clear boundaries between the two
notions of internal and international armed conflicts, i.e. to determine the
“moment of transformation” of the former into the latter.
Wright examines the issue with reference to the questions of breach of the
peace and threat to the peace and describes the situation in a following way:
a breach of the peace, in the sense of Art. 39 of the UN Charter, presupposes
the existence of an armed conflict between the forces under the control of
governments de facto or de jure, these armed forces acting at opposite sides
of an internationally recognized frontier. With regard to this latter term, it
has been stressed that it encompasses more than respective boundary of a
recognized state and if civil strife is of such magnitude that it is generally
recognized as a war and disturbs the interests of third states, the
requirements connected with the term in question are met.1202
Reference has also been made, in this context, to the notion of the “juridical
frontier” which is drawn in the absence of an active civil war and which is
generally recognized by states (respective cases of such borders in Korea,
Germany, Vietnam and China since the Second World War have been
mentioned). It has been stressed that policing actions, by an administering
power, against local uprisings in provinces or protected, mandated,
trusteeship or other non-self-governing territories, in which it is generally
recognized to have policing authority, would not come within the definition
of the “internationally recognized frontier”, unless those actions are of such
magnitude as to be generally recognized as belligerency.1203
It is evident that these considerations are essentially similar to Frowein’s
approach in the sense of internationalization of relations between a de facto
territorial entity and a “mother state”. The viewpoints are different: Frowein
considers the issue in the context of Art. 2 (4) of the UN Charter, whereas
Wright examines Art. 39 with regard to respective question. It is the notion
of an “internationally recognized frontier” which is the central issue in the
1201 Q. Wright, The Prevention of Aggression, in: AJIL, Vol. 50, 1956, p. 524 1202 Ibid., pp. 524-525 1203 Ibid., p. 525
324
context of the breach of the peace. Wright links the status of the frontier, as
an international one, with the recognition of belligerency but as this kind of
recognition “has lost all practical significance”1204, it is possible to consider
Wright’s approach in the context of the “new law” providing for an
objective status of the rebel faction.
As it is evident from the considerations mentioned above, the notion of an
international line of demarcation, in the form of an armistice line established
on the basis of an international agreement, is a component critical to the
problem of applicability of the prohibition of the use of force to the de facto
state. This mechanism represents the mode of vesting a de facto territorial
entity with the partial international legal capacity, it is the form of
“recognition” of such a capacity creating, on the ad hoc basis, “international
legal environment” for the existence of the de facto state. The point here is
that “Das Abgegrenztsein von dem anderen Staatsteil durch eine über
längere Zeit international respektierte Grenze läßt eben auf ein erhebliches
Maß von faktischer Unabhängigkeit von dem anderen Staatsteil
schließen.”1205 The question of decisive importance remains for me to
clarify the impact of this state of affairs on the emergence and existence of
the “Republic of South Ossetia”, i.e. to examine the applicability of the
above-mentioned considerations to the specific case in question.
9.2.5 (iii) The issue of applicability of Article 2 (4) of the UN
Charter to the relations between Georgia and the “Republic of
South Ossetia”
On 24 June 1992 the Georgian and Russian leaders (Shevardnadze and
Yeltsin respectively) signed an agreement on the basis of which, the
Republic of Georgia and the Russian Federation, reaffirming their
adherence to the principles of the UN Charter and the Helsinki Final Act,
1204 R. Higgins, International Law and Civil Conflict, in: E. Luard (ed.), The International Regulation of Civil Wars, London, 1972, p. 171 1205 D. Rauschning, Die Geltung des völkerrechtlichen Gewaltverbots in Bürgerkriegssituationen, in: W. Schaumann (Hrsg.), Völkerrechtliches Gewaltverbot und Friedenssicherung, Berichte – Referate – Diskussionen einer Studientagung der Deutschen Gesellschaft für Völkerrecht, Baden-Baden, 1971, p. 78
325
worked out a comprehensive ceasefire going into effect between the
Georgian and Ossetian sides by 28 June 1992.1206
On 31 October 1994, another document was signed in Moscow by the
Georgian, Russian, South Ossetian and North Ossetian sides in the presence
of the then CSCE. In the preamble of the latter agreement, the significance
attached to the establishment of a durable peace and stability and adherence
to the principles of international law have been reaffirmed and, according to
Art. 5 of the document, the parties to the conflict confirmed their obligation
to resolve all contentious questions solely by peaceful means and without
any resort to the threat or use of force.1207
Further important development that broadened the comprehensive ceasefire
agreement between the Georgian and South Ossetian sides took place on 16
May 1996: the parties to the conflict, together with the North Ossetian
republic of the Russian Federation, the OSCE and Russia, signed the
document on the basis of which, the Georgian and South Ossetian sides
explicitely renounced the threat or use of force, or political, economic or
other forms of pressure, as means for the settlement of the dispute between
them.1208
Bearing in mind the circumstances surrounding the conclusion of the
documents mentioned above, as well as the very nature of the commitments
assumed by the parties to the conflict on the basis of those arrangements, it
has to be concluded that a security corridor, a 14 km. band divided evenly
on both sides of the administrative border of the former South Ossetian AO 1206 Agreement on the Principles for Settling the Georgian-Ossetian Conflict (in Russian), signed in Sochi on 24 June 1992, preamble and Art. 1 (1), available on the official website of the Office of the State Minister of Georgia for Reintegration, at: http://smr.gov.ge/uploads/file/Dagomis%20Accord.pdf [accessed: 14.07.2009] 1207 Agreement on the Further Development of the Process for the Peaceful Settlement of the Georgian-Ossetian Conflict and on the Joint Control Commission, signed in Moscow on 31 October 1994, preamble and Art. 5, available on the official website of the Office of the State Minister of Georgia for Reintegration, at: http://smr.gov.ge/en/tskhinvali_region/legal_documents/peace_format_documents [accessed: 14.07.2009] 1208 Memorandum on Measures for Ensuring the Security and Reinforcement of Mutual Confidence between the Parties of the Georgian-Ossetian Conflict (in Russian), signed in Moscow on 16 May 1996, Art. 1, in: Konflikty v Abxazii i Yuzhnoi Osetii, Dokumenty 1989-2006 gg., (Conflicts in Abkhazia and South Ossetia, Documents 1989-2006), Prilozhenie k «Kavkazskomu sborniku», Vypusk № 1 (Supplement to the “Caucasian Digest”, Issue № 1), compiled and commented by M. A. Volkhonskii et al., Moscow, 2008, p. 300
326
(7 km. on each side), represented an armistice line established in the zone of
conflict (defined as a circle of 15 km. radius from the centre of Tskhinvali)
on the basis of international agreements.1209 It follows that this armistice
line can be regarded as an “international line of demarcation” in the sense of
the Friendly Relations Declaration of 1970, entailing the obligation of
respective parties to refrain from the threat or use of force to violate the line
in question. Relevant passage of the document reads as follows:
“Every State likewise has the duty to refrain from the threat or use of force
to violate international lines of demarcation, such as armistice lines,
established by or pursuant to an international agreement to which it is a
party or which it is otherwise bound to respect.”1210
It has to be noted at this point that the Friendly Relations Declaration of
1970 does not represent a binding document per se but it can be applied in
order to interpret the principles of the UN Charter endorsed in the resolution
itself.1211 It is important at this point to refer to the principles of the UN
Charter concerning the prohibition of the use of force. It has to be noted that
the very first principle of the document in question is the maintenance of
international peace and security.1212 Merriam stresses, in this respect, that
the UN was formed to accomplish two main goals: first, to prevent the use
of force as a means of settling disputes, and the second, to protect universal
human rights.1213
According to Stone, Art. 2 (4) of the UN Charter, entailing the obligation to
refrain from the threat or use of force, is qualified in the text of the 1209 Protocol № 3 of the Session of the Joint Control Commission of 12 July 1992 (in Russian), Vladikavkaz, available on the official website of the Office of the State Minister of Georgia for Reintegration, at: http://smr.gov.ge/file/1992-07-12_Protocol_3_Vladik.pdf [accessed: 15.07.2009] 1210 UNGA Res. 2625 (XXV) of 24 October 1970, Declaration on Principles of International Law Concerning Friendly Relations and Co-operation Among States in Accordance with the Charter of the United Nations, in: D. Rauschning et al. (eds.), Key Resolutions of the United Nations General Assembly (1946-1996), Cambridge UP, 1997, p. 4 1211 M. Hummrich, Der völkerrechtliche Straftatbestand der Aggression, Historische Entwicklung, Geltung und Definition im Hinblick auf das Statut des Internationalen Strafgerichtshofes, P. Kunig / W. Rudolf (Hrsg.), Völkerrecht und Außenpolitik, Bd. 59, Baden-Baden, 1. Aufl., 2001, pp. 183-184 1212 See Article 1 (1) of the Charter of the United Nations, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995, p. 3 1213 J. J. Merriam, Kosovo and the Law of Humanitarian Intervention, in: Case Western Reserve Journal of International Law, Vol. 33, 2001, p. 114
327
document itself, and in the light of travaux préparatoires, and Art. 2 (3), as
a general provision on peaceful settlement, must be read by reference to the
special provisions of Art. 2 (4) and Chapter VII regarding the prohibition of
resort to force.1214 It has been stressed that Art. 2 (4) does not prohibit the
use of force, as such, but as used against the “territorial integrity or political
independence of any State” or “in any other manner inconsistent with the
Purposes of the United Nations” and these purposes may extend beyond
Article 1 of the Charter (containing respective purposes of the world
organization), to include the passages in the preamble of the document
concerning the saving of the world from the scourge of war, fundamental
human rights, respect for the obligations arising from treaties and general
international law etc.1215
Dinstein asserts that the words “or in any other manner inconsistent with the
Purposes of the United Nations” form the centre of gravity of Art. 2 (4)
because they create some kind of “residual catch-all provision”1216. Indeed,
Rifaat stresses that the scope of the prohibition enshrined in Art. 2 (4) of the
UN Charter is broadened by the statement concerning the threat or use of
force in any other manner inconsistent with the purposes of the world
organization and, as a result of this state of affairs, Art. 2 (4) becomes
potentially all-embracing in completely prohibiting the use of armed force
on the international plane.1217
It has been stressed, in this respect, that the UN is charged with the
maintenance of international peace and security regardless of whether or not
a state involved is a member of the world organization, and basic purposes
of the Charter are not to be thwarted by technicalities concerning the
question of statehood (i.e. what constitutes a state) or recognition.1218 The
point here is that the prime purpose of the UN is the maintenance of
1214 J. Stone, Aggression and World Order, A Critique of United Nations Theories of Aggression, G. W. Keeton / G. Schwarzenberger (eds.), The Library of World Affairs, № 39, London, 1958, p. 43 1215 Ibid. 1216 Y. Dinstein, War, Aggression and Self-Defence, 4th ed., Cambridge UP, 2005, p. 87 1217 A. M. Rifaat, International Aggression, A Study of the Legal Concept: Its Development and Definition in International Law, 2nd printing, Stockholm, 1979, pp. 121-122 1218 H. F. Cunningham, Meaning of “Aggression” in the United Nations Charter, in: Nebraska Law Review, Vol. 33, 1953-1954, pp. 607-608
328
international peace and security and the use of force can only be consistent
with the Charter if it is directed to this end and, additionally, complies with
the direction in para. 7 of the preamble of the UN Charter stressing that
armed force shall not be used, save in the common interest.1219
Bearing in mind these dimensions of Art. 2 (4) of the UN Charter and
considerations regarding the applicability of the prohibition of the use of
force to de facto states, it has to be concluded that the “Republic of South
Ossetia” enjoys the protection under the norm in question. The point here is
that this territorial entity can be regarded (before 2004 and, possibly, until
August 2008) as existing in an environment which has to be described with
the term used by Frowein, namely “befriedet”. It is thus true that the signing
of the documents (which were examined above) entailing the obligation of
the parties to the conflict in question, not to use force against each other and
to resolve the problems by peaceful means, was followed by a long period
of time which can be described as “befriedet”. Luchterhandt makes the
following assessment of the situation by the time the Memorandum of 1996
was concluded:
“Es markiert eine geschichtliche Phase, die bemerkenswert lange durch
einen zwar zerbrechlichen, aber insgesamt von beiden Seiten eingehaltenen
und wiederholt bekräftigten Verzicht auf Gewalt unter internationaler
Beobachtung gekennzeichnet war.”1220
As in respect of the period afterwards, it has been stressed that the
agreements were violated by shootings and minor skirmishes between the
Ossetians and the Georgians but, all in all, the control mechanisms
established on the basis of those agreements have fulfilled their function till
the end of Shevardnadze’s term of office (2003).1221 Thus, it can be asserted
that the territorial entity in question existed in the environment in which its
very existence, as such, was not endangered by the use of armed force and
this situation lasted for years. As with regard to the factual international
1219 R. L. Griffiths, International Law, the Crime of Aggression and the Ius Ad Bellum, in: International Criminal Law Review, Vol. 2, 2002, pp. 308-309 1220 O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, p. 446 1221 Ibid.
329
status enjoyed by the entity in question, it has been stressed that effectively
independent South Ossetian “de facto regime” became active, in the sense
of international law, by participating in conclusion of ceasefire agreements
with Georgia and Russia.1222 Here we are led to the problem of contractual
relations with unrecognized territorial entities.
Both, bilateral and multilateral treaties are relevant with regard to the de
facto state. As legal capacity is a prerequisite for the conclusion of treaties,
this circumstance makes the case in question worthy of examination. The
argumentation is that an unrecognized entity enjoys legal capacity only in
connection with the specific treaty, party to which it is and this capacity is
implicitly recognized by the fact of the conclusion of a respective
agreement:
“Somit handelt es sich hier nicht um eine kategorische Anerkennung oder
Nichtanerkennung, sondern vielmehr um eine Teilanerkennung. Diese
Teilanerkennung bedeutet aber nicht, daß sie für den Abschluß weiterer
Verträge ipso facto gilt. Sie gilt und betrifft nur jenen spezifischen Vertrag,
dessen rechtslogische und unumgängliche Voraussetzung sie darstellt.”1223
An important conclusion is that full recognition, for example as a state, is
not regarded to be an inevitable result of these relations. This principle
applies also to bilateral treaties. Balekjian mentions the agreement signed
between the FRG and Israel in 1952, as an example. This agreement was
published in the UNTS, at that time, however, Israel was not recognized by
the FRG, this followed only in 1965.1224
When states enter into treaty relations with unrecognized entities, they try to
show that these relations are distinct from those normal agreements between
recognized states. Reservations and declarations are made concerning
multilateral treaties. Lachs summarized them in a following manner: “(a)
refusal to admit the unrecognized State or government to any participation
in the multilateral instrument; (b) refusal to accept any obligations resulting
1222 Ibid., pp. 457-458 1223 W. H. Balekjian, Die Effektivität und die Stellung nichtanerkannter Staaten im Völkerrecht, Den Haag, 1970, p. 141 (italics in original) 1224 Ibid., p. 144
330
from the treaty vis-à-vis the unrecognized State or government; (c) a
declaration that participation in the treaty does not amount to
recognition.”1225
The non-recognizing states do have the discretion described above, but it
does not prejudice the fact that unrecognized entities can enjoy the status of
parties to multilateral treaties. In the case of accession of an unrecognized
entity to a multilateral treaty, it has been asserted that this entity is
automatically in the position of a party to the document for the parties
recognizing it. With regard to other states, not recognizing this entity, the
status of a party to the agreement depends on the content of the treaty in
question and the attitude of those states.1226
It follows that, by participating in the conclusion of the agreements
considered in the present study, South Ossetia activated its partial
international legal capacity on the ad hoc basis. Thus, it can be stated that,
together with the “pacified” environment in which South Ossetia existed for
years, the component of “partial (and ad hoc) internationalization” of its
status is also present. At the same time, as it was stated above, the respective
armistice line established in the zone of the conflict in question can be
regarded as an “international line of demarcation”. Bearing in mind these
considerations and the “all-embracing” provision of Art. 2 (4) of the UN
Charter, it has to be concluded that the latter norm became applicable to the
relations between Georgia and the “Republic of South Ossetia”.
It has to be borne in mind that even if the organs of the UN regard civil
strife as being a threat to the peace and decide to occupy themselves with
the matter, in spite of Art. 2 (7) of the UN Charter concerning the domaine
réservé of states, this does not mean that there is an international armed
conflict. The point here is that the competence of the UN organs, concerning
the maintenance of peace, can exist even in the sphere to which the
prohibition of the use of force does not apply. It follows that a discussion
regarding the applicability of the prohibition of the use of force to concrete
1225 M. Lachs, Recognition and Modern Methods of International Co-operation, in: BYIL, Vol. 35, 1959, pp. 256-257 (italics in original) 1226 U. Erdmann, Nichtanerkannte Staaten und Regierungen, Göttingen, 1966, pp. 97-98
331
civil wars concerns the issue, whether the special case, e.g. the intervention
by a third party, is present, not the applicability of the norm in question
between the warring parties.1227 Thus, the solution to the problem of
applicability of the norm prohibiting the use of force to de facto situations is
not, in practice, as easy as it seems.
At the theoretical level, the application of the right of collective self-
defense, in the form of Art. 51 of the UN Charter, to the substate ethnic
groups, as peoples, and subsequent use of the notion of assistance in an
emergency (Nothilfe) in favour of them, has been criticized by Nolte.
According to this author, such an application contradicts not only the
wording and systematic context of the article in question, but it is also in
conflict with the central function of the prohibition of the use of force which
is aimed at creating a high degree of clarity in respect of the limits of
admissible unilateral use of force, in order to minimize the danger of
escalation which is also connected with the use of force for humanitarian
purposes:
“Wenn jede Gewaltanwendung gegen ein Volk […] die ein anderer Staat für
völkerrechtswidrig hält, für die Inanspruchnahme eines Nothilferechts
ausreichen würde, könnte das Gewaltverbot kaum noch eine praktische
begrenzende Funktion entfalten.”1228
It follows that the applicability of the right of collective self-defense to the
situations in which respective groups are persecuted or militarily oppressed
within the borders of particular states, has to be rejected:
“Selbstverteidigung darf nach der Charta nur gegenüber einem bewaffneten
Angriff gegen ein Mitglied der Vereinten Nationen geübt werden, setzt also
einen in aller Regel klar zutage tretenden Vorgang voraus. Im internen
Konflikt gibt es aber normalerweise keinen Vorgang, der als ein
1227 D. Rauschning, Die Geltung des völkerrechtlichen Gewaltverbots in Bürgerkriegssituationen, in: W. Schaumann (Hrsg.), Völkerrechtliches Gewaltverbot und Friedenssicherung, Berichte – Referate – Diskussionen einer Studientagung der Deutschen Gesellschaft für Völkerrecht, Baden-Baden, 1971, p. 77 1228 G. Nolte, Kosovo und Konstitutionalisierung: Zur humanitären Intervention der NATO-Staaten, in: ZaöRV, Bd. 59, 1999, p. 949
332
vergleichbar deutlicher Auslöser für eine Aggression gegen eine
Menschengruppe identifiziert werden kann.”1229
Charney stresses that liberal interpretation of the phrases “territorial
integrity” and “inconsistent with the purposes of the Charter” enshrined in
Art. 2 (4) of the UN Charter and applied by some in the form of exceptions
to the prohibition of the use of force, is incorrect, because the use of force
by bombing the territory of a sovereign state violates its territorial integrity
regardless of the motivation and, besides this, the protection of human
rights, although being among the primary purposes of the Charter, is
subsidiary to the objective of limiting war and the use of force in
international relations.1230
It has been stated that the travaux préparatoires of the Charter establish that
the phrases “territorial integrity” and “inconsistent with the purposes of the
Charter” were added to Art. 2 (4) of the document to close all the potential
loopholes in its prohibition of the use of force, rather than to open up new
ones, and neither the use of force by regional organizations, nor the
intervention in support of domestic insurrections is admissible, absent the
authorization by the Security Council or resort to self-defense.1231
Bearing in mind even these arguments, the considerations submitted at the
theoretical level confirm that the armistice line established in the conflict
zone could be regarded as an “international line of demarcation” the
violation of which could clearly trigger the aggression against the “Republic
of South Ossetia”. Accordingly, the Independent International Fact-Finding
Mission on the Conflict in Georgia concluded that the Georgian shelling and
ground offensive directed against the city of Tskhinvali and the surrounding
villages, beginning in the night from 7 to 8 August 2008, constituted illegal
use of force in the sense of Art. 2 (4) of the UN Charter.1232
1229 Ibid. 1230 J. I. Charney, Anticipatory Humanitarian Intervention in Kosovo, in: AJIL, Vol. 93, 1999, p. 835 1231 Ibid., pp. 835-836 1232 See the Report of the Independent International Fact-Finding Mission on the Conflict in Georgia, September 2009, Vol. I (pp. 22-23),Vol. II (p. 243), available on the website of the Mission, at: http://www.ceiig.ch/Report.html [accessed: 05.11.2009]
333
At the same time, bearing in mind the dimensions and characteristics of the
territorial entity in question, it has to be noted that the use of force by
Georgia against the “Republic of South Ossetia” would not fit into a
category described in the above mentioned quotation, namely the simple use
of force in the form of an internal measure. The argument advocating
applicability of the prohibition of the use of force to the territorial entity in
question is also backed by the importance attached to the maintenance of
international peace and security in the system of the UN Charter1233 and the
all-embracing nature (also in the form of customary international law) of the
jus cogens norm prohibiting the use of force.1234
9.2.6 Article 2 (4) of the UN Charter and the de facto state – problems
of application revealed by practice
9.2.6 (i) The case of Chechnya: a setback suffered by the de facto
state in the context of its protection under Article 2 (4) of the UN
Charter
The problems concerning the applicability to de facto states of the norm
prohibiting the use of force on the international plane arise not only at the
theoretical level, but also in practice. Indeed, it has been stressed in 1996
with regard to the case of Chechnya that the military occupation by Russia
of the Chechen Republic of Ichkeria would amount to the use of force
against an independent state and would fall under the scope of the
prohibition of Art. 2 (4) of the UN Charter.1235
Thus, the Chechen Republic of Ichkeria possessed the right of self-defence
stipulated by Art. 51 of the Charter (although the UN Charter, itself, did not
apply to the conflict between the Russian Federation and Chechnya, the
same rules represent customary international law). Respective conflict has
1233 A. Verdross / B. Simma, Universelles Völkerrecht, 3. Aufl., Berlin, 1984, p. 73 1234 O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, p. 459 1235 R. Lefeber / D. Raič, Frontiers of International Law, Part One: The Chechen People, in: LJIL, Vol. 9, 1996, p. 4
334
been described as an international one and the international community has
been regarded as entitled to assist the Chechen people to vindicate its rights
not only by issuing political statements, but also by admitting the Chechen
Republic of Ichkeria to international organizations and even by rendering
direct or indirect military support.1236
It is also true that the peace treaty signed by the Chechen and Russian sides
on 12 May 1997 postponed the regulation of Chechnya’s status (autonomy
within the borders of the Russian Federation or independent statehood) until
2001: “Beide Seiten vereinbarten, Konflikte künftig unter Verzicht auf
militärische Gewalt in Übereinstimmung mit den Grundsätzen des
internationalen Rechts auszutragen.”1237 But it remains the fact that the
Russian Federation “reconquered” Chechnya in the second military
campaign initiated in 1999 and the international community, once again,
acquiesced in the Russian argument, that the conflict in question was the
matter of Russia’s domestic jurisdiction.
Thus, applicability of the prohibition of the use of force to the relations
between the Chechen Republic of Ichkeria and the Russian Federation
suffered a significant blow. Further important consideration regarding the
problematic question of such applicability is connected with the cases of de
facto states existing on the Georgian territory itself. This consideration
demonstrates the complexity of the situation and interrelation between the
developments surrounding Abkhazia and South Ossetia.
9.2.6 (ii) The Russian – Georgian war of 2008 and its implications
In the course of the Russian-Georgian war of August 2008 over South
Ossetia, the Abkhaz forces assumed control over the upper Kodori Gorge
(the Abkhaz side has claimed that its troops took over the area after fighting
with the Georgian forces on 12 August), the only part of breakaway
1236 Ibid. 1237 U. Halbach, Nordkaukasien – von Widerstand geprägt, in: Informationen zur politischen Bildung, Nr. 281/2003, Kaukasus-Region, p. 7
335
Abkhazia under Tbilisi’s control.1238 This was exactly the use of force
aimed at the expansion of the factual “sovereign territory” of the de facto
state and, as it was stressed above, according to Frowein, this action falls
under the scope of the prohibition of the use of force on the international
plane (it has to be borne in mind that respective de facto states are protected
by the norm in question, but, on the other hand, they can also violate it).
Here we are led to the military intervention by the Russian Federation “in
furtherance of the right of (South) Ossetians to self-determination”. The
reason is that Russia conducted military operations not only in the proximity
to the territory of the former South Ossetian AO, but across Georgia1239 and
the Russian military advancement had its own impact on the situation in
Abkhazia, it changed the status quo established in that region.
The argument that force may be used to implement the right of self-
determination depends on whether there is a species of self-defence,
recognized by Art. 51 of the UN Charter which permits the use of force in
such circumstances.1240 Indeed, it has been stressed in this respect that there
is no consistent state practice or rule of international law supporting a right
to forceful self-determination independent of the right to self-defence, and
even less support for a right of ethnic groups to use force to secede from
existing states. It follows that, in the absence of support for such a right and
considering the general prohibition contained in Art. 2 (4) of the UN
Charter, the use of force by a state against another state in support of self-
determination by a people within that second state will, if the circumstances
do not grant the supported people the right to self-defence, amount to an act
of aggression.1241
1238 Kodori Under Abkhaz Control [12 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=19073&search= [accessed: 19.07.2009] 1239 For the classification of particular actions of the Russian military campaign on the Georgian soil see O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, p. 473 1240 J. Dugard, SWAPO: The Jus ad Bellum and the Jus in Bello, in: The South African Law Journal, Vol. 93, 1976, pp. 148-149 1241 R. L. Griffiths, International Law, the Crime of Aggression and the Ius Ad Bellum, in: International Criminal Law Review, Vol. 2, 2002, p. 360
336
Abkhazia was not attacked in August 2008, so the activation of the right to
self-defence, on the part of respective people, was excluded. But the Abkhaz
forces seized momentum, utilized Russia’s massive military advancement in
the western part of Georgia (in the course of which Abkhaz armed forces
launched an operation to drive Georgian forces out of the Kodori Gorge)1242
and assumed control over the only part of Abkhazia being, at that time,
under the control of the Georgian central authorities. The Tbilisi-controlled
upper Kodori Gorge was under ground and air attack by Russian and
Abkhaz forces and Abkhaz de facto president declared on 10 August 2008
that he ordered 1,000 troops to the territory in question.1243 Bagapsh even
said that the Abkhaz side was coordinating its actions with Russia, the
“biggest friend” of Abkhazia.1244
It has been concluded in respect of Russia’s massive military involvement in
western Georgia that it was not aimed at repulsing the Georgian forces and
re-establishing the status quo ante in and around South Ossetia, its goal was
to destroy the military capability of Georgia in the western part of the
country and to boost Abkhazia’s position in the region.1245 Thus, according
to Luchterhandt: “Für den „Süd-Ossetien-Komplex“ waren die russischen
Aktionen in Westgeorgien ohne Belang; sie waren erst recht nicht
notwendig sowie unangemessen und daher völkerrechtswidrig.”1246 Bearing
in mind these considerations, it has to be concluded that Russia committed
aggression against Georgia (flagrant violation of the principle of
proportionality took place), whereas the Abkhaz forces violated the
prohibition of the use of force and seized the territory being under the
control of the central government of Georgia. With regard to the use of
force by the Ossetian side, it has to be stressed that by initiating the shooting
1242 Upper Kodori Attacked [9 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=18990&search= [accessed: 19.07.2009] 1243 Kodori Under Attack [10 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=19021&search= [accessed: 19.07.2009] 1244 Bagapsh: Abkhazia Dispatches Troops to Kodori [10 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=19016&search= [accessed: 19.07.2009] 1245 O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, p. 476 1246 Ibid., (emphasis in original)
337
on Georgian villages, police and peacekeepers before the outbreak of the
large-scale hostilities, South Ossetia violated the prohibition of the use of
force.1247 Furthermore, use of force by South Ossetia after 12 August 2008
was also illegal from the ius ad bellum perspective.1248
Not only did the Russian Federation commit an act of aggression against the
Georgian state, but the Russian conduct of military operations fell short of
the requirements attached to the modern humanitarian intervention. The
latter notion is important in the present context because, according to the
claim of the Russian leadership, the Russian Federation intervened in the
conflict on humanitarian grounds.1249 It is thus meaningful to examine
modern requirements attached to the concept of humanitarian intervention.
9.2.6 (iii) The notion of humanitarian intervention and
contemporary international law: justification of unilateral use of
force
It has been emphasized by Merriam that in order to justify a military
intervention, human rights violations must meet two conditions: they must
violate the highest norms of human rights (most notably the right to life and
the right to be free from physical abuse) and the violations themselves must
be widespread and large in scale.1250 Furthermore, use of force must be the
last resort when a state or group of states attempts to resolve a humanitarian
crisis. So, other means, such as diplomacy and sanctions, must be employed
before exercising the military option and during the period of time in which
the humanitarian crisis has not reached its peak.
1247 See the Report of the Independent International Fact-Finding Mission on the Conflict in Georgia, September 2009, Vol. II (p. 262), available on the website of the Mission, at: http://www.ceiig.ch/Report.html [accessed: 05.11.2009] 1248 Ibid., p. 263 1249 President of Russia, Statements on Major Issues, Opening Remarks at a Meeting with the leaders of parties represented in Russian Parliament, 11 August 2008, The Kremlin, Moscow, available on the official web portal of the President of Russia, at: http://kremlin.ru/eng/speeches/2008/08/11/1924_type82912type84779_205145.shtml [accessed: 20.07.2009] 1250 J. J. Merriam, Kosovo and the Law of Humanitarian Intervention, in: Case Western Reserve Journal of International Law, Vol. 33, 2001, p. 129
338
It follows that the exhaustion of other remedies short of military option
should be a two-step process with a pre-crisis phase and the crisis phase
itself: during the former, other methods of preventing the tragedy (e.g. trade
sanctions, attempts at mediation, political pressure) are required, whereas
once the crisis begins, a state or group of states can intervene unilaterally
only when faced with a deadlocked UN Security Council, because by
attempting to initiate the Security Council action, the intervening state adds
further weight to the legitimacy of the intervention by establishing a record
of humanitarian intent.1251
At the same time, the sole objective of the intervention must be to end the
humanitarian emergency and prevent its resurgence and the purpose of the
intervention should not be extended to include territorial conquest or
liberation, the break-up of a state in question, or the toppling of its
government. The reason for such a restriction is that the aims mentioned
would destroy the disinterested humanitarian intent which is required for a
legitimate intervention. Thus, in acting within the territory of a sovereign
state, every attempt must be made to comply with the spirit of Art. 2 (4) of
the UN Charter.1252
The criterion of the limited objective is followed by the requirement of the
limited duration of the intervention. Under the latter, the intervenor must not
remain in occupation of the sovereign territory of another state any longer
than necessary to accomplish the humanitarian mission, in order to avoid
pretextual intervention, annexation or indefinite occupation by the
intervenor of the territory of a sovereign state. It is also important to
emphasize that the limited duration of a unilateral intervention should be
monitored and enforced by the UN.1253
Further important requirement is that of the multilateral character of the
intervention. It follows that the humanitarian intervention should be
multilateral whenever possible, because the more states that are involved in
the intervention, the greater the legitimacy of the intervention and, therefore,
1251 Ibid., pp. 131-132 1252 Ibid., p. 133 1253 Ibid., pp. 134-135
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the less likelihood of an abuse of the doctrine. But, at the same time, it has
been stressed that this should not be understood to require the presence of
more than one state’s military forces in the affected area. Rather, this
criterion requires that the endorsement of the intervention be multilateral:
“A humanitarian intervention must be supported by many voices, and the
existence of a humanitarian crisis be accepted by the world community as a
whole. Any signs that the UN has endorsed intervention will further add to
its legitimacy.”1254 Thus, after elaboration of the criteria of a modern
humanitarian intervention, it is important to examine Russian military
involvement of August 2008, the operations conducted on the Georgian soil.
9.2.6 (iv) Russia’s “humanitarian war” of August 2008 and its
legal assessment
If we apply those criteria to the Russian military campaign, it becomes
evident that significant flaws were inherent in the intervention but the most
flagrant violations are connected with the requirements of limited objective
and limited duration of the intervention. As it was already stated above,
Russia’s actions went far beyond the goal of putting an end to the
humanitarian emergency and covered the bombardment of military and civil
objects in Poti, Senaki, Vaziani (outside Tbilisi)1255, Gori, Kopitnari airport
(close to Georgia’s second largest city of Kutaisi in western part of the
country)1256, Upper Kodori1257, outskirts of the capital Tbilisi1258, a military
installation in Tbilisi itself1259, Tbilisi International Airport1260 etc. It has to
1254 Ibid., pp. 135-136 1255 Strategic Targets Bombed Across Georgia [9 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=18976&search= [accessed: 21.07.2009] 1256 Scores of Civilians Dead in Gori Bombing – Reports [9 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=18983&search= [accessed: 21.07.2009] 1257 Official: Upper Kodori Bombed [9 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=18989&search= [accessed: 21.07.2009] 1258 Russia’s Air Strike Targets Factory in Tbilisi [10 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=19008&search= [accessed: 21.07.2009] 1259 Military Installation Bombed in Tbilisi [11 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=19037&search= [accessed: 21.07.2009]
340
be noted that Russia conducted military operations using its Black Sea
fleet.1261 Bearing in mind these circumstances, it can be stated that those
actions, in their very essence, “overreached” the objective of ending the
humanitarian crisis and the alleged humanitarian intent was destroyed, i.e.
the requirement of the limited objective of the humanitarian intervention
was not met.
As in respect of the criterion of limited duration of the humanitarian
intervention, it has been stressed that the Russian counter-attack, including
large-scale military actions in central and western Georgia and in Abkhazia,
failing to respect the principle of proportionality and the requirements based
on the international humanitarian law, “led to the occupation of a significant
part of the territory of Georgia”1262. On 28 January 2009 the Parliamentary
Assembly of the Council of Europe adopted the resolution in which it:
“[…] condemns the Russian non-mandated military presence and the
building of new military bases within the separatist regions of South Ossetia
and Abkhazia, as well as in Akhalgori, Perevi and Upper Abkhazia and in
villages controlled by the central government of Georgia before the
breakout of the conflict.”1263
Bearing in mind these circumstances, it has to be concluded that the Russian
Federation, i.e. the intervenor, remained in the occupation of the sovereign
territory of Georgia longer than necessary to accomplish its “humanitarian”
1260 Timeline of Overnight Attacks [11 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=19040&search= [accessed: 21.07.2009] 1261 Russia’s Black Sea Fleet Blockades Georgia [10 August 2008], available on the website of the Civil Georgia (Daily News Online), at: http://www.civil.ge/eng/article.php?id=19012&search= [accessed: 21.07.2009] 1262 Resolution 1633 (2008) of the Parliamentary Assembly of the Council of Europe on the Consequences of the War between Georgia and Russia [2 October 2008], para. 6, available on the official website of the Council of Europe, at: http://assembly.coe.int/ASP/Doc/ATListingDetails_E.asp?ATID=11016 [accessed: 21.07.2009] 1263 Resolution 1647 (2009) of the Parliamentary Assembly of the Council of Europe on the Implementation of Resolution 1633 (2008) on the Consequences of the War between Georgia and Russia [28 January 2009], para. 5.4., available on the official website of the Council of Europe, at: http://assembly.coe.int/ASP/Doc/ATListingDetails_E.asp?ATID=11043 [accessed: 21.07.2009]
341
mission and, in doing so, Russia has committed a pretextual intervention
causing indefinite occupation of the Georgian territory.
The International Crisis Group depicted in its June 2009 document the
measures taken by the Russian Federation having the destructive impact on
the situation in and around the conflict zone: a) since August 2008, Russia
has consolidated its position in Abkhazia and South Ossetia (facing
relatively slight criticism), it has not returned its military presence to pre-
war levels and locations (as envisioned by the 12 August six-point
agreement achieved on the basis of the EU’s mediation and leading to a
ceasefire) and in April 2009 it sent additional troops to South Ossetia and
Abkhazia; b) in violation of its 7-8 September agreement with the EU, the
Russian Federation has prevented the OSCE from continuing pre-war
activities in South Ossetia; c) Russia vetoed the UN mission working in
Abkhazia and blocked a renewed mandate for the OSCE mission to Georgia
that has been active in South Ossetia.1264
Russia justifies its position by referring to “new realities”, i.e. the
recognition by the Russian Federation of “independent states” in South
Ossetia and Abkhazia and the conclusion of bilateral security agreements
with them. But it is also a reality that Russia has not fully complied with the
ceasefire agreements and its troops have not withdrawn from the sovereign
territory of Georgia which they did not occupy before 7 August 2008 (the
Akhalgori district of South Ossetia, Perevi village on the Georgian side of
the administrative border with the former South Ossetian AO and the
Kodori Gorge region of Abkhazia).1265 Furthermore, the way Russia
conducted its intervention demonstrates that the operations had nothing to
do with the very essence of the notion of humanitarian intervention. As
Ossetian militias systematically looted and bulldozed most ethnic Georgian
villages, committing “ethnic cleansing”, Russian troops stood by and did not
1264 Georgia-Russia: Still Insecure and Dangerous, International Crisis Group Policy Briefing, Europe Briefing № 53, 22 June 2009, p. 1 1265 Ibid., pp. 1-2
342
perform their security duties, the function inherent in the status of an
occupying force.1266
It follows that actions of the Russian Federation did not meet the criterion of
limited duration of humanitarian intervention. At the same time, they were
not aimed at ensuring the security of the local population, regardless of
ethnicity, and at preventing human rights abuses in areas under Russia’s
control. Furthermore, as it is evident from the considerations mentioned
above, most of the on-the-ground conflict resolution machinery (UNOMIG
and the OSCE mission in Georgia) is being dismantled by Russia.1267 In
doing so, the Russian Federation gradually reduces the international
presence in the conflict zones to a minimum, i.e. it tries to “kill” multilateral
framework of the conflict resolution, and claims the role of a sole arbiter in
this overall context. This circumstance makes the Russian “humanitarian
intervention” and its subsequent policies less reliable. Thus, leaving aside
the question, whether (in August 2008) Russia has exhausted all available
means short of military force to end the crisis in the region and whether the
use of force was a last resort, it has to be concluded that Russia’s actions did
not satisfy the requirements attached to the notion of humanitarian
intervention.
9.2.6 (v) Russia’s “political impact” on the status of the “Republic
of South Ossetia”
It is also true that the Russian Federation recognized independence of the
“Republic of South Ossetia” and this step provokes the worst fears. These
fears denote the possibility of the attachement of the territory of the former
South Ossetian AO to one of the constituent entities of the Russian
Federation, namely the North Ossetian republic, the unification of Ossetians
living in the territory of the former South Ossetian AO with their ethnic
brethren in the north, a kind of “Ossetian Enosis”. Some time ago, Galina
Starovoitova wrote following in respect of the possibility of recognition by
Russia of South Ossetia’s secession from Georgia: 1266 Ibid., p. 1 1267 Ibid.
343
“Such a move would have been tantamount to a Russian Anschluss of a
portion of Georgia’s territory and could have provoked demands on the part
of other minorities for a similar Anschluss, [...]”1268
It is a hallmark of the case of South Ossetia that the legal status of this
territorial entity is affected by the actions of a third state, namely the
Russian Federation. The point here is that Ossetians living in the territory of
the former South Ossetian AO were granted en masse the citizenship of the
Russian Federation by Russian authorities, the “activity” which has been
taking place across the whole area since 2004 and which represents the
illegal intervention in a matter being within the domestic jurisdiction of the
Georgian state.1269 This is an additional factor denoting the fear of the
creeping annexation by Russia of the territory in question. This
naturalization en masse is a step expressing one particular component of the
problem mentioned above: “Sie nimmt die hoheitliche Inkorporation Süd-
Ossetiens in die Russländische Föderation partiell, nämlich personell,
vorweg.”1270
Bearing in mind this consideration and the facts of ethnic cleansing
conducted against Georgians, together with the position of the de facto
authorities declaring to prevent their return to the territory in question (most
of their houses have been destroyed)1271, it becomes evident that the fear
mentioned above is not groundless. These circumstances reveal the flaws of
the South Ossetian “independence”: Russia effectively controls South
Ossetia politically, financially and militarily1272 and, at the same time,
recognizes the “Republic of South Ossetia”, an entity in which 80-90% of
the population has Russian citizenship1273, as a “sovereign independent
state”. The Independent International Fact-Finding Mission on the Conflict
1268 G. Starovoitova, Sovereignty After Empire, Self-Determination Movements in the Former Soviet Union, United States Institute of Peace, Peaceworks No. 19, 1997, p. 17 (italics in original) 1269 For the comprehensive assessment of these actions see O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, pp. 466-468 1270 Ibid., p. 468 1271 See Georgia-Russia: Still Insecure and Dangerous, International Crisis Group Policy Briefing, Europe Briefing № 53, 22 June 2009, p. 4 1272 See Ibid. 1273 See O. Luchterhandt, Völkerrechtliche Aspekte des Georgien-Krieges, in: AVR, Bd. 46, 2008, footnote 103, p. 466
344
in Georgia stressed, in this context, that the process of state-building was
not gradually stabilised after South Ossetia’s declaration of independence in
1992 but suffered setbacks after 2004 as de facto control of South Ossetia
was gradually built up by Moscow since summer 2004.1274 The following
conclusion has been drawn in this respect:
“To sum up, Russia’s influence on and control of the decision-making
process in South Ossetia concerned a wide range of matters with regard to
the internal and external relations of the entity. The influence was
systematic, and exercised on a permanent basis. Therefore the de facto
Government of South Ossetia was not “effective” on its own.”1275
Furthermore, it has been acknowledged that the traditional criteria for
statehood are gradual ones and, at the time of the military conflict in 2008,
South Ossetia was (from the perspective of international law) an entity
without a sufficient degree of effectiveness, as domestic policy was largely
influenced by Russian representatives “from “within””1276.
9.2.7 The “Republic of South Ossetia” as the de facto state
Thus, after eleven years from the appearance of a respective paper delivered
by Starovoitova, the Russian Federation recognized South Ossetia as a
“sovereign independent state”. But, for the time being (and for the purposes
of the present thesis), the “Republic of South Ossetia” represents a sui
generis de facto state the government of which lacks actual independence. It
follows that the territorial entity in question does not meet one important
(traditional) criterion for statehood based on the principle of effectiveness. If
we apply the “substantive recognition test” to the current case, it becomes
evident that the “Republic of South Ossetia” enjoys the same “acceptance”
on the international plane as the “Republic of Abkhazia”. So, there is no
need to describe, once again, the recognition granted to the entity in
question. 1274 See the Report of the Independent International Fact-Finding Mission on the Conflict in Georgia, September 2009, Vol. II (p. 133), available on the website of the Mission, at: http://www.ceiig.ch/Report.html [accessed: 05.11.2009] 1275 Ibid., (italics and emphasis in original) 1276 Ibid., p. 134 (emphasis in original)
345
The “Republic of South Ossetia” enjoys the protection, vis-à-vis Georgia,
under the norm prohibiting the use of force as an expression of the partial
international legal capacity of the territorial entity in question. Such a
capacity, on the part of the de facto state, is also expressed in the relations
maintained by this kind of territorial entity. Decisive seems to be, in this
context, the will of members of the international community:
“Die anerkennungsrechtliche Seite solcher Kontakte scheint nicht vom
modus (offiziell, usw.) sondern vom animus der betreffenden Regierungen
abhängig zu sein. Ist ein animus zur Anerkennung expressis verbis oder
implizit nicht vorhanden, wie dies aus entsprechenden Erklärungen zu
entnehmen sein kann, so sind Art und Ebene der Kontakte für eine
Anerkennung belanglos.”1277
The attitude of states which do not recognize respective entities is that these
states try to enter into relations “short of recognition.”1278 It is thus evident
that “relations officieuses”1279 are conducted with unrecognized territorial
entities. This circumstance demonstrates that, despite the lack of substantive
recognition, business is done with de facto states. But again, this state of
affairs does not amount to the attainment by the de facto state of the
normative status which would be valid erga omnes. The point here is that
the partial international legal capacity of the de facto state does not entail
“Legitimierung der […] tatsächlichen Machtlage”1280.
1277 W. H. Balekjian, Die Effektivität und die Stellung nichtanerkannter Staaten im Völkerrecht, Den Haag, 1970, pp. 128-129 (italics in original) 1278 A. Verdross / B. Simma, Universelles Völkerrecht, 3. Aufl., Berlin, 1984, p. 242 1279 H. W. Briggs, Relations Officieuses and Intent to Recognize: British Recognition of Franco, in: AJIL, Vol. 34, 1940, p. 52 (italics in original) 1280 BVerfGE, Urteil des Ersten Senats vom 4. Mai 1955 – 1 BvF 1/55 – in dem Verfahren wegen verfassungsrechtlicher Prüfung des Bundesgesetzes vom 24. März 1955 betreffend das am 23. Oktober 1954 in Paris unterzeichnete Abkommen über das Statut der Saar, in: Entscheidungen des Bundesverfassungsgerichts, Bd. 4, 1956, p. 175
346
Preliminary remarks
The second part of the present study reveals how different those de facto
states really are. The most important “finding” of this part is that alleged
precedential value of de facto statehood, as such, has to be rejected.
Respective de facto states are too distinct to have direct (or indirect) legal
impact on the status of each other within the realm of public international
law: they exist in different political settings, they are not alike in the context
of ethnic composition, their emergence is connected with distinct political
and legal developments. The point here is that “independence requires more
than claims to the right to self-determination and that each case will be
considered ad hoc.”1281 Thus, there can be no precedential value of de facto
statehood on the international plane.
It follows that the principle of effectiveness changes its “faces” in each and
every single de facto situation in accordance with the distinctive features of
a particular case. The ROC has made its way from a sovereign state to de
facto local government and acquired the status of a fully-fledged de facto
state with prosperous economy and viable democracy. The TRNC is the
entity emergence of which is branded as “illegal” because of Turkey’s 1974
military intervention. The latter violated Art. 2 (4) of the UN Charter and
undermined the foundation on which the existence of the Republic of
Cyprus was based. The “Republic of Kosovo” represents the de facto state
status of which is a product of the UN Security Council “legislation” and the
notion of unilateral remedial secession as an expression of external self-
determination. The way made through by Kosovo implies the transition
from an autonomous province within Serbia to the fully-fledged de facto
state via the status of the UN protectorate and by means of the application
of an “earned sovereignty approach”, the latter denoting the principle known
as “standards before status”.
I have examined the status of the “Republic of Abkhazia” in the context of
secessionist self-determination and, after concluding that respective claim
does not represent a strong one, the possibility of validation of its effective
1281 J. Radoman, Future Kosovo Status-Precedent or Universal Solution, in: Western Balkans Security Observer-English Edition, Issue no. 3, 2006, p. 20 (italics in original)
347
existence (in the form of statehood) has been considered with reference to
the notion of acquisitive prescription. The result is that the latter
manifestation, being one particular “mode of functioning” of the principle of
effectiveness, does not entail Abkhazia’s statehood within the realm of
contemporary international law. The case of the “Republic of South
Ossetia” has been considered in the present study in the context of partially
normative character of the principle of effectiveness which, in the situation
described as “völkerrechtliche Stabilisierung und Befriedung”1282,
guarantees partial international legal capacity of the de facto state and,
accordingly, partial international legal personality on the ad hoc basis. It
follows that particular rules of public international law of essential
importance are applicable to de facto states. This was demonstrated by
reference to the prohibition of the use of force enshrined in Art. 2 (4) of the
UN Charter.
Indeed, according to Frowein, the application of public international law to
de facto territorial entities can depend on the very essence of norms foreseen
for such an application and be different in various de facto situations,
because the preconditions of the application of international legal rules are
distinct: in principle, all international legal norms are applied to states, as
such, whereas in the case of de facto states it is possible, or likely, that only
a part of those legal norms will be applied.1283 This is the way in which the
principle of effectiveness functions in the context of existence of the de
facto state: “Insofern kommt der faktischen Beherrschung eines
Territoriums eine bestimmte völkerrechtliche Bedeutung zu.”1284
What the principle of effectiveness cannot guarantee, is the attainment by
respective territorial entities of sovereign statehood within the realm of
contemporary international law. The reason can be found in the lack of
1282 C. Hillgruber, Die Aufnahme neuer Staaten in die Völkerrechtsgemeinschaft, Das völkerrechtliche Institut der Anerkennung von Neustaaten in der Praxis des 19. und 20. Jahrhunderts, in: H. Schiedermair (Hrsg.), Kölner Schriften zu Recht und Staat, Bd. 6, Frankfurt am Main et al., 1998, p. 759 1283 J. Abr. Frowein, Das de facto-Regime im Völkerrecht: Eine Untersuchung zur Rechtsstellung »nichtanerkannter Staaten« und ähnlicher Gebilde, Max-Planck-Institut für ausländisches öffentliches Recht und Völkerrecht, H. Mosler (Hrsg.), Beiträge zum ausländischen öffentlichen Recht und Völkerrecht 46, Köln / Berlin, 1968, p. 34 1284 Ibid., p. 230 (italics mine)
348
substantive recognition. Thus, here we are led to the issue of recognition of
statehood which will be considered in the next chapter.
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Chapter 10: Recognition of statehood and its significance in the context of de facto territorial situations
10.1 Content of the notion of recognition and its dimensions
It is important at this stage to refer to the notion of recognition as a means of
clarifying the status of the de facto state in public international law. The
relevance of the concept in question to the subject of examination of the
present study is twofold: on the one hand, it is inherent in the definition of
the de facto state, as the lack of substantive recognition is a hallmark of this
kind of entity and, at the same time, recognition represents an important
instrument at hands of the international community affecting, or to say
precisely, determining legal status of the de facto state. It has to be borne in
mind that the de facto state represents (in most cases) a “product” of a
secessionist bid and full independence and international recognition remain
the ultimate goals for the overwhelming majority of secessionist groups.1285
Of course, the notion of collective non-recognition as the “severest form of
diplomatic ostracism”1286 has to be examined in connection with the
problem of recognition of statehood. Indeed, recognition covers variety of
factual situations within the realm of public international law, the situations
calling for acknowledgment by members of the international community1287,
but the recognition of states is informative with regard to the subject of
examination of the present study:
“Wird ein neuer Staat von einem bereits existierenden Staat anerkannt, so
beinhaltet dies, falls die Anerkennung nicht ausdrücklich qualifiziert wird,
eine auf die Staatsqualität und damit auf eine umfassende
Völkerrechtssubjektivität bezogene Anerkennung.”1288
It is also important to distinguish among following concepts: cognition,
cognizance and recognition. The difference between them is that not all of 1285 P. Kolstø, The Sustainability and Future of Unrecognized Quasi-States, in: Journal of Peace Research, Vol. 43, 2006, p. 736 1286 D. Geldenhuys, Isolated States: A Comparative Analysis, in: S. Smith et al. (eds.), Cambridge Studies in International Relations: 15, Cambridge et al., 1990, p. 124 1287 See D. P. O’Connell, International Law, Vol. 1, London / New York, 1965, p. 137 1288 E. Klein, Die Nichtanerkennungspolitik der Vereinten Nationen gegenüber den in die Unabhängigkeit entlassenen südafrikanischen homelands, in: ZaöRV, Bd. 39, 1979, pp. 475-476
350
the manifestations aimed at acknowledging particular facts have
consequences within the realm of public international law. Cognition is
described as a mere noting of facts, whereas cognizance represents an act of
a legislative or judicial branch aimed at taking note of facts and allowing
consequences to follow from such an acknowledgment (not involving
executive admission of legal consequences). In contrast to these forms,
recognition can be defined as an act of the executive authority taking note of
facts and indicating willingness to allow all the legal consequences, attached
to that noting in international law, to operate.1289
Brierly notes, in this respect, that the primary function of recognition is to
acknowledge, as a fact, something that was regarded as uncertain before (i.e.
the independence of a body claiming to be a state) and to declare the
readiness on the part of the recognizing state to accept normal consequences
of that fact expressed in the “usual courtesies of international
intercourse.”1290 This circumstance demonstrates the relevance of the
recognition of states to the problematic issue of de facto situations. De facto
states are considered as aspirants for the fully-fledged status of sovereign
independent states, they wish to be treated as normal states and receive all
the privileges connected with the sovereign statehood, they wish to become
subjects of international law.
Thus, the notion of international legal personality is an important indicator
denoting the standing of the political entity on the international plane and
implies that the entity in question is directly affected by rights and duties at
the international level.1291 It is true that nation states have been recognized
as the traditional subjects of international law as, for a long period of time,
they were exclusively responsible for the formulation, application and
termination of international legal rules.1292 They are also regarded as the
primary subjects of international law possessing the fullest range of rights
1289 D. P. O’Connell, International Law, Vol. 1, London / New York, 1965, pp. 138, 179 1290 J. L. Brierly, The Law of Nations, An Introduction to the International Law of Peace, 6th ed., Sir H. Waldock (ed.), Oxford, 1963, p. 139 1291 See M. Shaw, The International Status of National Liberation Movements, in: The Liverpool Law Review, Vol. V, 1983, p. 32 1292 A. F. Kassim, The Palestine Liberation Organization’s Claim to Status: A Juridical Analysis Under International Law, in: Denver Journal of International Law and Policy, Vol. 9, 1980, p. 4
351
and duties.1293 This latter circumstance makes the notion of sovereign
statehood more attractive to respective elites in de facto situations. The
other important aspect is that international legal personality does not merely
denote having certain rights, it also implies responsibility to fight against
exclusion and misrecognition on the international plane.1294
The concept of international legal personality refers “to the identity of the
Self in relation to otherness institutionally mediated by law (as justice). As
such, international legal personality emerges with law as an order of
recognition.”1295 Thus, bearing in mind the latter quotation, the importance
of the notion of recognition has to be emphasized in connection with
ascribing international legal personality to a particular political entity.
Moreover, it has to be stressed that the determination of such a personality
is generally a function of recognition extended by the existing international
persons, i.e. primarily sovereign states.1296
The overwhelming importance of the notion of recognition is expressed
through the fact that it concerns the construction of legal subjectivity and
the bestowal of international legitimacy.1297 According to Klabbers, one
important function of the notion of legal personality is that it forms
recognition of the group’s legitimate existence.1298 It is exactly this meaning
of the concept of international legal personality which is decisive for the
purposes of the present study: the problem of recognition of the legitimate
existence of the de facto state represents the issue in question and this issue
has been examined in my thesis.
1293 M. Shaw, The International Status of National Liberation Movements, in: The Liverpool Law Review, Vol. V, 1983, p. 20 1294 J. E. Nijman, Paul Ricoeur and International Law: Beyond ‘The End of the Subject’. Towards a Reconceptualization of International Legal Personality, in: LJIL, Vol. 20, 2007, p. 61 1295 Ibid., p. 56 1296 W. V. O’Brien, The PLO in International Law, in: Boston University International Law Journal, Vol. 2, 1984, p. 372 1297 C. M. Constantinou / Y. Papadakis, The Cypriot State(s) in situ: Cross-ethnic Contact and the Discourse of Recognition, in: Global Society, Journal of Interdisciplinary International Relations, Vol. 15, 2001, p. 127 1298 J. Klabbers, The Concept of Legal Personality, in: Ius Gentium, Journal of the University of Baltimore Center for International and Comparative Law, Vol. 11, 2005, p. 65
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At the same time, recognition remains one of the most problematic concepts
of international law, especially in the context of the criteria of statehood.
Grossman correctly observes that the criteria for admitting of statehood
reflect conflict of policies and engender conflict of laws.1299 This
circumstance serves as a source of the conflict of views regarding the very
nature of recognition within the realm of public international law. The
conflict in question bears following description: the declaratory theory of
recognition versus the constitutive one.
This relationship of tension between respective approaches leads us to the
problematic issue of law-fact interaction, i.e. statehood as a matter of law or
statehood as a matter of fact. Following statement has been made by the US
Court of Appeals in respect of the latter question as it dealt with the
Republika Srpska and the state action requirement for international law
violations:
“Srpska is alleged to control defined territory, control populations within its
power, and to have entered into agreements with other governments. It has a
president, a legislature, and its own currency. These circumstances readily
appear to satisfy the criteria for a state in all aspects of international
law.”1300
This is a classic expression of the empirical statehood based on the principle
of effectiveness. Thus, the present study concentrates on the examination of
the following assertion: “Die Existenz eines Staates ist eine Frage der
politisch-sozialen Wirklichkeit.”1301 At the same time, it is also true that
new states come into existence, as legal persons, when the conditions of
international law concerning international legal personality are fulfilled.1302
It is important to note that in order to address this latter issue, reference to
the notion of recognition is inevitably needed.
1299 A. Grossman, Nationality and the Unrecognised State, in: ICLQ, Vol. 50, 2001, p. 855 1300 United States: Court of Appeals for the Second Circuit Decision in Kadic v. Karadžić [October 13, 1995], in: 34 ILM 1592 (1995), p. 1607 1301 J. M. Mössner, Die Völkerrechtspersönlichkeit und die Völkerrechtspraxis der Barbareskenstaaten (Algier, Tripolis, Tunis 1518-1830), Neue Kölner Rechtswissenschaftliche Abhandlungen, Heft 58, Berlin, 1968, p. 34 1302 D. P. O’Connell, International Law, Vol. 1, London / New York, 1965, p. 179
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Thorough examination of the declaratory and constitutive theories of
recognition and resolution of the conflict of these two views does not
represent the objective of the present study. It is the impact of the notion of
recognition (and non-recognition) on the status of the de facto state which is
important for the purposes of my thesis. As a short description of rival
theories, it is sufficient to stress that under the declaratory model the
emergence of a state is a fact independent of recognition. The latter only
declares that respective community does possess all the requisites of
statehood, i.e. the act of recognition serves as an evidence that a state has
come into being, it is in no way an instrument of the creation of that state. In
contrast to such an approach, the constitutive theory asserts that a state has
its genesis in recognition, the latter is itself a requisite of statehood and
constitutes the state.1303 It has to be noted at this stage that both approaches
have been widely debated and criticized by legal scholars.
10.2 Recognition and the issue of statehood
It is not the objective of the present study to clarify whether recognition of
states, as such, is a political or legal manifestation. My thesis concentrates
on the particular aspect of the notion of recognition, namely its
“functioning” in the context of de facto statehood. This kind of significance
of recognition has been examined by the Supreme Court of Canada in the
context of secession:
“Although recognition by other states is not, at least as a matter of theory,
necessary to achieve statehood, the viability of a would-be state in the
international community depends, as a practical matter, upon recognition by
other states. That process of recognition is guided by legal norms.”1304
The law-fact interaction and the relationship of tension between these two
manifestations are reflected in approaches to the issue of statehood. The
notion of empirical statehood expresses the importance of the principle of
1303 T. D. Grant, The Recognition of States, Law and Practice in Debate and Evolution, Westport, 1999, p. xx 1304 Reference Re Secession of Quebec, Canada, Supreme Court, 20 August 1998, in: Sir E. Lauterpacht et al., (eds.), ILR, Vol. 115, 1999, p. 589
354
effectiveness and is based on traditional or empirical criteria for statehood
enshrined in the Montevideo Convention of 1933. The concept of juridical
statehood, on the contrary, denotes the need for introduction of additional
criteria for the establishment of statehood within the realm of public
international law, it regards the mere effectiveness as insufficient for the
validation of a claim to statehood. The status of a juridical state has been
described as an expression of the negative sovereignty:
“Die negative Souveränität […] ist ein formaler, juristischer Status, der
durch die Anerkennung der anderen Staaten erlangt werden kann und
zunächst nichts mit empirischer Staatlichkeit im traditionellen Sinne zu tun
hat.”1305
It is exactly the lack of this kind of negative sovereignty which is a hallmark
of the de facto state and, in this sense, the latter represents an antipode of a
state possessing negative sovereignty. The point here is that the de facto
state does not enter the realm of public international law via its mere
effectiveness and is not regarded as a member of the international
community of states, whereas those political entities lacking internal
viability but possessing negative sovereignty on the basis of international
recognition, are states for the purposes of contemporary international law.
As it has already been stated in this study, the Montevideo criteria have to
be considered a kind of starting point within the framework of examination
of the question of statehood. Indeed, it is uncontested that the Montevideo
Convention is highly contingent upon the political, historical and legal
environment of the time at which it was drafted. Bearing in mind these
considerations, Redman arrives at the conclusion that the convention “as a
law-making tool of normative value, […] is limited and outdated.”1306
Of course, I am not going to diminish the importance of the Montevideo
Convention which represents the meaningful codification of requirements
attached to the claim of statehood. But, as I have already stated before, the 1305 B. Jahn, Humanitäre Intervention und das Selbstbestimmungsrecht der Völker. Eine theoretische Diskussion und ihre historischen Hintergründe, in: PVS, 34. Jg., 1993, Heft 4, p. 579 1306 M. Redman, Should Kosovo Be Entitled to Statehood?, in: The Political Quarterly, Vol. 73, 2002, p. 342
355
present thesis contemplates the document in question as something that
needs a kind of addendum, in order to respond to the developments
experienced by public international law since the adoption of the
convention.
It has to be noted that juridical statehood, as such, implies “normative” and
“international” dimensions. It is an important aspect of the juridical
statehood that respective state is both a creature and a component of the
international community of sovereign independent states and its properties
can solely be defined in international terms.1307 This circumstance is clearly
demonstrated by the example of recognition of Bosnia-Herzegovina (1992)
in the situation in which respective government did not control more than
30% of the territory, nor did it enjoy the loyalty of large, definable portions
of the population.1308
Thus, it can be asserted that Bosnia-Herzegovina was recognized as an
independent state in such circumstances in which it did not meet the
traditional criteria for statehood. Bearing in mind this circumstance,
Hillgruber concludes that international recognition granted to Bosnia
created for the latter “den völkerrechtlichen Status eines Staates im Wege
der rechtlichen Fiktion. Die Anerkennung fungierte hier nicht nur als
widerlegliche Vermutung, als “evidence” für das Vorliegen der
Voraussetzungen von Staatlichkeit, sondern ersetzte diese offensichtlich
fehlenden Merkmale.”1309
An example quite different from Bosnia-Herzegovina is that of Somaliland.
As the Somali state collapsed in 1991, its northwestern province (formerly
the colony of British Somaliland before independence and union with the
former Italian Somalia in 1960) declared independence but the international
community has been reluctant to extend recognition to the aspirant for
1307 R. H. Jackson / C. G. Rosberg, Why Africa’s Weak States Persist: The Empirical and the Juridical in Statehood, in: World Politics, A Quarterly Journal of International Relations, Vol. XXXV, 1982, p. 12 1308 R. M. Hayden, Bosnia’s Internal War and the International Criminal Tribunal, in: The Fletcher Forum of World Affairs, Vol. 22, 1998, p. 47 1309 C. Hillgruber, Die Aufnahme neuer Staaten in die Völkerrechtsgemeinschaft, Das völkerrechtliche Institut der Anerkennung von Neustaaten in der Praxis des 19. und 20. Jahrhunderts, in: H. Schiedermair (Hrsg.), Kölner Schriften zu Recht und Staat, Bd. 6, Frankfurt am Main et al., 1998, p. 671 (emphasis in original)
356
statehood.1310 According to Eggers, Somaliland has operated as an
independent state for certain period of time and it meets international legal
standards for statehood but Somaliland lacks formal recognition of its
statehood by other states, an act which would enable it to take its place on
the world stage.1311
The problem is that internal effectiveness is not sufficient to guarantee the
general effectiveness of the government that is inevitable in order to qualify
as a state, respective institutions must also possess the international
effectivité dependent on obtaining the recognition of statehood.1312 It follows
that widespread non-recognition can severely impede the international
effectivité of the entity in question.1313 This circumstance is of decisive
importance in the context of de facto statehood. As this kind of territorial
unit emerges (most usually) as a result of the secessionist bid, the notion of
recognition acquires great significance, because the ultimate success of a
secessionist claim depends on obtaining substantive international
recognition.1314
Thus, the examples of Bosnia-Herzegovina and Somaliland demonstrate two
diametrically opposite approaches to the notion of recognition: the
international community recognized Bosnia despite its inability at that time
to meet the traditional criteria for statehood based on effectiveness and, in
doing so, the international community created the juridical state. On the
other hand, the same international community refused to extend substantive
recognition to Somaliland and, in doing so, it deterred this entity from
acquiring the status of a sovereign independent state, despite the exercise of
effective control by respective authorities over a defined territory. Bearing
in mind these circumstances, it has to be concluded that the fulfillment of
1310 T. Zierau, State Building without Sovereignty: The Somaliland Republic, in: Mondes en Développement, Vol. 31, 2003, p. 57 1311 A. K. Eggers, When Is a State a State? The Case for Recognition of Somaliland, in: Boston College International and Comparative Law Review, Vol. XXX, 2007, p. 222 1312 J. D’Aspremont, Regulating Statehood: The Kosovo Status Settlement, in: LJIL, Vol. 20, 2007, p. 655 1313 Ibid., pp. 660-661 1314 P. Radan, The Badinter Arbitration Commission and the Partition of Yugoslavia, in: Nationalities Papers, Vol. 25, 1997, p. 543
357
empirical criteria of statehood does not inevitably mean that the political
entity in question will be granted international recognition.
10.3 Collective recognition and non-recognition
Examples show that, in order to effect deterrence or validation of the claim
to statehood, a concerted effort is required on the part of the international
community. This problem leads us to the collective aspect of the recognition
policy. It has to be noted that the international community knows examples
of institutionalization of recognition policies. One has to refer to the
Yugoslav crisis and the attitude of the then EC towards the question of
recognition.
The essence of the stance mentioned above is expressed through the fact
that the EC negotiations originally concentrated on the principle that
“recognition would be granted only in the framework of a general settlement
acceptable to all parties.”1315 It is also true that the approach of the EC did
not represent the collective recognition, as such, it was the recognition by
individual member states on the basis of common guidelines on
recognition.1316 Furthermore, in practice, the recognition process was not as
ideally unanimous and concerted as wished by the members of the EC but it
is the approach itself, which is important for the purposes of the present
study.
It is the notion of the UN which is of specific importance in the context of
de facto statehood and the institutionalization of the recognition policy. But
it has to be stressed, at the outset, that the issue is a problematic one. Kirgis
emphasizes that an international organization of states does not recognize
state status simply by admitting an entity to membership, even if that status
is the relevant condition for membership of the organization in question.1317
1315 R. Caplan, The European Community’s Recognition of New States in Yugoslavia: The Strategic Implications, in: The Journal of Strategic Studies, Vol. 21, 1998, p. 31 1316 See C. Hillgruber, Die Aufnahme neuer Staaten in die Völkerrechtsgemeinschaft, Das völkerrechtliche Institut der Anerkennung von Neustaaten in der Praxis des 19. und 20. Jahrhunderts, in: H. Schiedermair (Hrsg.), Kölner Schriften zu Recht und Staat, Bd. 6, Frankfurt am Main et al., 1998, footnote 175, p. 651 1317 F. L. Kirgis, Jr., Admission of “Palestine” as a Member of a Specialized Agency and Withholding the Payment of Assessments in Response, in: AJIL, Vol. 84, 1990, p. 228
358
Another argument is that the UN does not contain an apparatus for
collective recognition and, though the organization is competent to decide
questions of recognition for its own purposes, respective decisions on the
matter are not universally binding.1318
On the other hand, according to Hoyle, recognition by the international
community is most usually demonstrated by acceptance into the UN as a
member state and without such recognition, respective aspirants for
statehood will find it difficult to achieve the status wished by them.1319
Grant emphasizes the fact that the definition of statehood may never require
UN membership, but the association is too close to ignore, because the UN
membership is conclusive as to entity’s statehood.1320
It is not argued here that, if an entity is not a member of the UN, it
inevitably does not represent a state. Switzerland became member of the UN
in 2002 but this does not mean that it was not the state before. The point
here, the decisive matter for the purposes of the present study, is the specific
context of de facto statehood, namely the impact of the UN on the status of
the de facto state. This impact can be demonstrated by reference to the case
of Kosovo: according to Mitic, without UN membership Kosovo will
remain in legal limbo because it is not only about abstract symbols, it is also
about practicalities, and no UN means no membership in most international
institutions.1321
The very nature of the concept of recognition, as a tool at hands of the
international community, acquires its overwhelming importance in this
context. This character of recognition is expressed through the fact that even
the political aspect of recognition “is amenable to legal control.”1322 This
circumstance is demonstrated by the example of Southern Rhodesia which
1318 T. D. Grant, The Recognition of States, Law and Practice in Debate and Evolution, Westport, 1999, p. 153 1319 P. Hoyle, Somaliland: Passing the Statehood Test?, in: IBRU Boundary & Security Bulletin, Vol. 8, 2000, p. 82 1320 T. D. Grant, Defining Statehood: The Montevideo Convention and its Discontents, in: Columbia Journal of Transnational Law, Vol. 37, 1999, p. 446 1321 A. Mitic, Kosovo: Lessons Learned [18 March 2008], in: Transitions Online (www.tol.org), Issue no. 03/25/2008, p. 2 1322 A. C. Bundu, Recognition of Revolutionary Authorities: Law and Practice of States, in: ICLQ, Vol. 27, 1978, p. 25
359
satisfied the criterion of establishment of de facto independence, i.e. the
entity in question met the traditional criteria for statehood based on
effectiveness. But, after the adoption by the UN Security Council of the
mandatory resolutions concerning the situation in Rhodesia and subsequent
non-recognition of the latter, states were legally prevented from exercising
their political discretion in favour of recognition of Rhodesia.1323
The claim aimed at becoming member of the UN has been described as a
claim to “comprehensive participation”1324, something that represents the
wish of the political elite of the de facto state. This can also be described as
a claim to “comprehensive inclusion”, the inclusion in the club of sovereign
states. From the affirmation by the ICJ of the “objective international
personality” enjoyed by the UN1325, Dugard deduces the conclusion that this
determination of the Court “must surely place the capacity of the United
Nations to confirm the existence of a new State beyond all doubt.”1326 It has
to be mentioned that authoritative character of Art. 4 of the UN Charter,
dealing with the question of admission to membership of the organization,
has been underscored by the ICJ. The Court stressed that Art. 4 (1):
“[…] by reason of the close connexion which it establishes between
membership and the observance of the principles and obligations of the
Charter, clearly constitutes a legal regulation of the question of the
admission of new States.”1327
The Court also emphasized that Art. 4 (1) demonstrates the intention of its
authors to establish a legal rule which, on the one hand, fixes the conditions
of admission and, at the same time, determines the reasons for which
admission may be refused.1328 Respective provision of the UN Charter reads
as follows:
1323 Ibid., p. 26 1324 R. Higgins, The Development of International Law Through the Political Organs of the United Nations, London et al., 1963, p. 14 1325 Reparation for injuries suffered in the service of the United Nations, Advisory Opinion: I.C.J. Reports 1949, p. 174 (p. 185) 1326 J. Dugard, Recognition and the United Nations, Hersch Lauterpacht Memorial Lectures (III), Cambridge, 1987, p. 79 1327 Admission of a State to the United Nations (Charter, Art. 4), Advisory Opinion: I.C.J. Reports 1948, p. 57 (p. 63) 1328 Ibid., p. 62
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“Membership in the United Nations is open to all other peace-loving States
which accept the obligations contained in the present Charter and, in the
judgment of the Organization, are able and willing to carry out these
obligations.”1329
It has to be stressed that the article in question bears profound implications
in the context of the problematic issue of statehood and the membership of
the UN. Hillgruber emphasizes the fact that the admission to membership of
the world organization (which he describes as a form of “collective
recognition”) depends on the positive vote of the overwhelming majority of
states, and necessarily, of permanent members of the UN Security Council,
this positive vote denoting that respective states have already recognized an
aspirant for membership as a state under international law, or expressing the
readiness to recognize it as such during the procedure of admission.1330
Furthermore, it has been stated that “völkerrechtliche Zuverlässigkeit”1331 of
the aspirant for membership represents the decisive criterion of statehood
under international law.
The notion of recognition is exactly the tool used in assessing the
“völkerrechtliche Zuverlässigkeit” (of a respective aspirant for statehood)
mentioned above, i.e. the ability and the will of the “newcomer” to integrate
into the international community and to accept and comply with its rules.
This explains the reason, why those “newcomers” do not possess legally
enforceable entitlement under public international law, to be recognized as
states, even if they satisfy empirical criteria for statehood.1332 The legal
significance of membership of the UN can be described as follows:
“Mit der Aufnahme als Mitglied in die Vereinten Nationen vollzieht sich
dann im Wege der Kooptation der Eintritt des Neustaates in die weltweit
organisierte Staatengemeinschaft. Die Staatlichkeit eines Mitglieds der
Vereinten Nationen kann nach der Aufnahmeentscheidung nicht mehr mit 1329 Article 4 (1) of the Charter of the United Nations, in: I. Brownlie (ed.), Basic Documents in International Law, 4th ed., Oxford, 1995, p. 4 (italics mine) 1330 C. Hillgruber, Die Aufnahme neuer Staaten in die Völkerrechtsgemeinschaft, Das völkerrechtliche Institut der Anerkennung von Neustaaten in der Praxis des 19. und 20. Jahrhunderts, in: H. Schiedermair (Hrsg.), Kölner Schriften zu Recht und Staat, Bd. 6, Frankfurt am Main et al., 1998, p. 719 1331 Ibid., p. 722 1332 Ibid., p. 731
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der Wirkung in Frage gestellt werden, daß die Geltung der sich aus der
gemeinsamen Mitgliedschaft ergebenden gegenseitigen Rechte und
Pflichten bestritten wird.”1333
Thus, according to Art. 4 (1) of the UN Charter, members of the
organization can solely be states. If we combine this circumstance with the
determination of the ICJ that the provision in question entails the reason for
which the admission to membership of the UN may be refused, it can be
stressed that the organization has the authority to issue such a denial on the
basis of the finding that respective aspirant does not enjoy the status of a
state. Again, this assertion is made by me in the special context of de facto
statehood and not in general terms.
These considerations lead us to the notion of non-recognition. The latter
manifestation does not represent something new within the realm of public
international law. The origins of the policy of non-recognition can be traced
back to the period before the outbreak of the First World War and this
manifestation started later to be transformed into an obligation of non-
recognition.1334 On 7 January 1932 the US Secretary of State Stimson
delivered an identic note to the Japanese and Chinese governments.
Relevant passage of the document in question stresses that the US
government:
“[…] does not intend to recognize any situation, treaty, or agreement which
may be brought about by means contrary to the covenants and obligations of
the Pact of Paris of August 27, 1928, to which treaty both China and Japan,
as well as the United States, are parties.”1335
The problem to which the note referred was the territorial one. Japanese
military succeeded in conquering Manchuria and the puppet “Manchukuo”
was established on 18 February 1932 (in addition to Japan, following states
recognized Manchukuo: El Salvador, Italy, Germany and Hungary).1336 The
note quoted above served as a source for the emergence of the policy known 1333 Ibid., p. 743 1334 Dissenting Opinion of Judge Skubiszewski, East Timor (Portugal v. Australia), Judgment, I.C.J. Reports 1995, p. 90 (p. 262) 1335 G. H. Hackworth, Digest of International Law, Vol. I, Washington, 1940, p. 334 1336 P. C. Jessup, The Birth of Nations, New York / London, 1974, p. 334
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as the Stimson non-recognition doctrine. Thus, the US applied the notion of
non-recognition in order not to admit the legality of the creation of a
political entity under the violation of its treaty rights (including those
relating to the sovereignty, independence or the territorial and
administrative integrity of the ROC).1337
It follows that non-recognition was applied on legal grounds. The Assembly
of the League of Nations made a step towards transforming the policy of
non-recognition into an obligation as it, on 11 March 1932, adopted a
resolution in which it declared non-recognition incumbent on the members
of the League in case of any situation, treaty or agreement which
contravened the League Covenant or the Briand-Kellogg Pact on the
Renunciation of War.1338
As it is evident from the very nature of collective recognition, it presupposes
the existence of the international community, because respective policy can
solely be maintained by the latter. The same can be asserted in respect of the
notion of non-recognition. The General Assembly and the Security Council
of the UN have acted as “arbiters” in respective cases concerning
recognition and non-recognition policies, especially the role of the Security
Council has to be acknowledged. Futhermore, it has been emphasized with
regard to the Charter of the world organization that it has been recognized as
the constitutional document of the international community of states.1339
This circumstance backs the assertion concerning the importance of the UN
in the context of recognition and non-recognition of states.
The maintenance of these policies also presupposes collective approaches to
certain situations where the problem of statehood is the issue in question. It
has to be noted that because of Realpolitik, which represents the concept
inherent in international relations, the wilful and crude disregard by
respective governmental policymakers of the principles of international law
1337 G. H. Hackworth, Digest of International Law, Vol. I, Washington, 1940, p. 334 1338 S. R. Patel, Recognition in the Law of Nations, Bombay, 1959, p. 115 1339 B. Simma / A. L. Paulus, The ‘International Community’: Facing the Challenge of Globalization, in: EJIL, Vol. 9, 1998, p. 274
363
is not excluded in the face of strong geopolitical considerations.1340 It is also
true that deviant acts of great powers, i.e. the acts that deviate from
established interpretations of law in the international legal system, carry
potential to shape a new interpretation1341, but this circumstance does not
affect the non-recognition of de facto states by decisive means.
The fact that the Russian Federation recognized Abkhazia is not
insignificant, because Russia is a great power, but this recognition does not
have the crucial impact on the attitude of the international community, as
such, Russia’s deviation from the attitude of the international community
towards Abkhazia, expressed in non-recognition, does not alter the overall
approach. This is because deviant acts affect the international legal order
with singular power (if, of course, there is no adherence of the world
community to such acts) and the reason for such a state of things is that the
members of the international community are creators and interpreters of
international legal norms.1342
The meaning of non-recognition as a sanction is crucial to the purposes of
my thesis. Following situations have been asserted to be possible
manifestations concerning the non-recognition of an entity as a state:
“a) Mit »Nichtanerkennung« kann zunächst nur die Ablehnung
diplomatischer Beziehungen gemeint sein. […] Entscheidend ist, daß sie
den Status als Staat völlig unberührt läßt.
b) Nichtanerkennung eines Staates kann auch bedeuten, daß zwar die
Staatsqualität einer territorialen Einheit nicht bestritten wird, wohl aber, daß
daraus bestimmte Konsequenzen nicht gezogen werden sollen, etwa die
Ausschließlichkeit des Völkerrechts als des die bilateralen Beziehungen
regelnden Rechts.
c) Nichtanerkennung kann aber auch Bestreiten der staatlichen Existenz
heißen.
1340 R. Falk, The East Timor Ordeal: International Law and Its Limits, in: Bulletin of Concerned Asian Scholars, Vol. 32, 2000, p. 52 1341 T. J. Farer, The Prospect for International Law and Order in the Wake of Iraq, in: AJIL, Vol. 97, 2003, p. 622 1342 Ibid.
364
d) Schließlich kommt die Nichtanerkennung als Waffe gegen
völkerrechtliche Unrechtstatbestände in Betracht.”1343
It is true that the maintenance of non-recognition policy can be a meaningful
instrument. The last two constellations, namely non-recognition in
accordance with the contestation of statehood of a respective entity and the
non-recognition as a sanction against wrongs which occur on the
international plane, are important, because there are entities, the emergence
of which takes place in violation of certain norms. Among those norms,
there are also criteria for statehood, so there is no valid claim to statehood
and such emergence represents an international wrong that will be
condemned. This condemnation can be voiced by the international
community, as such, in accordance with international law “as it is applied
between all nations belonging to the community of States.”1344
The objective of the obligation of non-recognition is to prevent validation of
what represents legal invalidity or nullity and the principle on which the
doctrine of non-recognition is based, denotes that illegal acts should not
produce results beneficial to the wrongdoers.1345 This is an expression of the
maxim ex injuria jus non oritur. The content of the notion of non-
recognition, which is important for the purposes of the present study, reads
as follows:
“[...] the doctrine of the obligation of non-recognition as applied to
statehood holds that States are under an obligation not to recognize, through
individual or collective acts, the purported statehood of an effective
territorial entity created in violation of one or more fundamental norms of
international law.”1346
1343 E. Klein, Die Nichtanerkennungspolitik der Vereinten Nationen gegenüber den in die Unabhängigkeit entlassenen südafrikanischen homelands, in: ZaöRV, Bd. 39, 1979, pp. 477-478 (emphasis in original) 1344 The S.S. Lotus, Judgment No. 9, September 7, 1927, [Series A, No. 10, pp. 4-108], in: M. O. Hudson (ed.), World Court Reports, A Collection of the Judgments, Orders and Opinions of the Permanent Court of International Justice, Vol. II (1927-1932), Washington, 1935, p. 33 1345 S. R. Patel, Recognition in the Law of Nations, Bombay, 1959, p. 112 1346 D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43, The Hague et al., 2002, p. 107 (italics in original)
365
As it is evident from this description, the obligation of non-recognition does
not refer, in this case, to all norms of international law, but only to those
which are of erga omnes application, they must represent the interests of the
international community as a whole. Raič stresses following legal norms in
this context, deduced from the UN practice: prohibition of the use of force
(reference is made, in particular, to the prohibition of aggression), the
prohibition of the violation of peoples’ right to self-determination and the
prohibition of racial discrimination which has systematic character, with
particular reference to the prohibition of apartheid.1347 Thus, the obligation
of non-recognition has the legal basis. Moreover, it has been stressed that
the concept of non-recognition constitutes part of contemporary
international law.1348
10.4 “Regulation of statehood” on the basis of the recognition policy
It is important to depict the “mode of functioning” of the UN in respect of
regulating the question of statehood. It follows that the political organs of
the UN have assumed the function of legitimization and illegitimization and
this competence of the world organization may not be analyzed solely in the
political context, but has to be applied within the framework of the new
legal order, as such, which has experienced the “erosion” of the monolithic
structure of traditional international law by a hierarchization (or
relativization) of norms resulting from the introduction of novel legal
concepts (reference is made to jus cogens norms, obligations erga omnes
and international crimes). Thus, the process of legitimization and
illegitimization by the UN has become a legal procedure, a tool in the
collective defence of fundamental norms of the new legal order.1349
These developments have profoundly affected the issue of statehood.
According to Grant, statehood has come to be defined as more than solely 1347 Ibid., p. 141 1348 Dissenting Opinion of Judge Skubiszewski, East Timor (Portugal v. Australia), Judgment, I.C.J. Reports 1995, p. 90 (p. 262) 1349 V. Gowlland-Debbas, Collective Responses to the Unilateral Declarations of Independence of Southern Rhodesia and Palestine: An Application of the Legitimizing Function of the United Nations, in: BYIL, Vol. 61, 1990, pp. 144-145
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effectiveness and new criteria for statehood, such as the requirement to
comply with jus cogens norms, to guarantee minority rights and democracy,
reflect new claims to international competence over domestic
governance.1350 It follows that the Montevideo Convention as a “snapshot
from a particular epoch”1351 (to say precisely, its definition of statehood)
can, at the best, serve as soft law.1352 The document in question was signed
at Montevideo by nineteen states, but was ratified by only five as of the
middle of 1936 and, if it was binding at all, it was binding only on small
number of states of the Western Hemisphere representing parties to it.
Furthermore, subsequent practice and treaty-making did not promote the
definition being at its core.1353
The point here, the decisive matter concerning the question of statehood, is
that factual personality is not equal and identical with the legal personality,
because the legal personality emerges when law invests respective aspirant
with it, according to its rules.1354 It has been emphasized that factual
existence plus granting of international status and personality by the
internationally competent authority, are both essential and, unless it is so, a
state has no international legal existence.1355 For the purposes of the present
study, this statement has to be applied to the special context of de facto
situations, where respective aspirants for statehood assert their claims. I do
not argue that the assertion mentioned above is generally applicable to the
question of statehood.1356 My argument is that unless the international
community extends substantive recognition to a de facto state, it cannot be
said that this political entity represents a “state” under contemporary
international law.
1350 T. D. Grant, The Recognition of States, Law and Practice in Debate and Evolution, Westport, 1999, p. 213 1351 T. D. Grant, Defining Statehood: The Montevideo Convention and its Discontents, in: Columbia Journal of Transnational Law, Vol. 37, 1999, p. 453 1352 According to Grant, it may well be that it never achieved even that status. See Ibid., p. 456 1353 Ibid. 1354 S. R. Patel, Recognition in the Law of Nations, Bombay, 1959, p. 35 1355 Ibid., p. 36 1356 “The rights and attributes of sovereignty reside in a state as soon as it comes into factual existence and it may even exercise them, but it is only after a state has been given recognition that it is assured of exercising them, for otherwise it is perfectly open to other states not to allow operation to the exercise of the rights of sovereignty so far as it falls within their province for its execution or giving it effect otherwise.”, Ibid., p. 2
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The point here is that any claim denoting that an unrecognized state
possesses erga omnes legal capacity, as a full subject of international law,
cannot be supported by reference to concrete rights and duties. If the
internal effectiveness of the political entity in question is a prerequisite for
statehood, the concrete “actualization” of the rights of that entity, as a
subject of international law, is dependent on the willingness of members of
the international community to extend recognition to respective aspirant for
statehood.1357 It follows that there is a certain (it can be said meaningful)
degree of interrelation or interaction between the notions of internal
effectiveness, external effectiveness and recognition: the domestic
effectiveness and its extraterritorial effects (i.e. external or international
legal effectiveness) may be, on the one hand, promoted and consolidated by
recognition or, on the other hand, weakened by non-recognition.1358
The international legal order experiences different shifts and developments
as it can be regarded as a dynamic system and one of the most important
developments is, for the purposes of the present study, a late 20th century
turn away from the strict application of the doctrine of effectiveness toward
an attempt to establish a gap between facts and norms (i.e. effectiveness and
legitimacy) in such a manner that “effectiveness no longer automatically
translates to legitimacy.”1359 Thus, the endeavour can be registered aimed at
healing public international law of its pathology and alleged weakness,
namely the “particular proximity to reality”.1360
With respect to the territorial entity with a de facto situation satisfying the
empirical or traditional criteria for statehood, it has to be stressed that its
effectiveness does not automatically mean that the entity in question
represents a state under contemporary international law. The point here is
that effectiveness alone, as a consequence of a mere factual event, does not
1357 W. H. Balekjian, Die Effektivität und die Stellung nichtanerkannter Staaten im Völkerrecht, Den Haag, 1970, pp. 214-215 1358 Ibid., p. 215 1359 O. C. Okafor, Re-Defining Legitimate Statehood, International Law and State Fragmentation in Africa, Developments in International Law, Vol. 36, The Hague et al., 2000, p. 67 1360 For the impact of respective developments on the interaction between effectiveness and recognition of states see S. Oeter, Die Entwicklung der Westsahara-Frage unter besonderer Berücksichtigung der völkerrechtlichen Anerkennung, in: ZaöRV, Bd. 46, 1986, pp. 65-66
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create rights1361, nor does it, per se, render the recognizability of an action
unlawful under peremptory international law.1362 The factual existence of a
respective territorial entity needs validation, otherwise one cannot speak of a
“state”, as such, the state under contemporary international law. It follows
that the notion of recognition acquires its specific importance in the context
of validating de facto situations:
“The function of determining legally relevant facts is termed “recognition.”
Recognition, then, is the general procedure provided by international law for
the determination of facts which, once established, have certain legal
consequences. Thus recognition determines the legal existence of such
varied facts as state, […]”1363
The decisive matter is that legal consequences cannot simply be deduced
from facts, but only from legal rules which confer upon certain facts the
law-creating effect.1364 The impact of the notion of recognition on the status
of the de facto state can be demonstrated by reference to Tucker’s
description of the administrative and legislative dimensions of recognition.
It follows that the objects of recognition of both, the situations illegal in
origin and those in the emergence of which no violation of law is involved,
are not facts but legal rules which attach to those facts certain legal
consequences. Accordingly, the act of recognition is an administrative act
because the notion of effectiveness is applied and it is a legislative act
because new law is created by the act of validation.1365
The point here is that international recognition of substantive character
validates the claim to statehood asserted by respective elites in de facto
situations. It is a “legislative act” regulating the issue of statehood. It is not
to say that the international community possesses centralized and
specialized organs which fulfill the law-creating and law-enforcing
1361 K. Doehring, Effectiveness, in: R. Bernhardt (ed.), EPIL, Vol. II (1995), p. 44 1362 Ibid., p. 47 1363 H. Kelsen, Principles of International Law, 2nd ed., Revised and Edited by R. W. Tucker, New York et al., 1966, p. 421 (emphasis in original) 1364 Ibid., pp. 421-422 1365 R. W. Tucker, The Principle of Effectiveness in International Law, in: G. A. Lipsky (ed.), Law and Politics in the World Community, Essays on Hans Kelsen’s Pure Theory and Related Problems in International Law, Berkeley / Los Angeles, 1953, p. 43
369
functions1366, but it is true that public international law has nowadays
reached the stage of development which is necessary to cope with the task
of regulating law-fact interaction in the context of de facto statehood.
According to Dugard, the “collective certification of statehood” occurs in
practice and non-recognition of states and territorial acquisitions illegal in
origin has become an essential instrument at hands of the UN law-
enforcement process.1367 Of course, the role of the UN should not be
overestimated in the context of granting international recognition, because
the recognition by the world organization does not even oblige a member
state to enter into bilateral relations with respective (newly recognized)
fellow member, but the purpose of such recognition is to certify the
existence of a political entity as a state, subject to the benefits and burdens
of international law.1368
The UN has brought the elements of collective approaches to effective
situations and respective claims based on them. The point here is that
“Today there is a coherent doctrine of non-recognition backed by effective
collective machinery for its enforcement.”1369 In contrast to the inability of
the League of Nations to deal effectively with the problem of Manchukuo
and the invasion of Abyssinia by Italy in 1935 in the context of collective
non-recognition, the UN has demonstrated this kind of ability on many
occasions. The cases of Katanga, Southern Rhodesia and the South African
homeland territories (Bantustans), also South Africa’s administration in
Namibia confirm the success of non-recognition as a sanction.1370
It can be stressed with regard to the state of affairs as established nowadays
that “the United Nations plays an important role in the recognition of States
by certificating the existence of some States through its admission
procedure and by denying the existence of others by means of non-
1366 See L. Gross, States as Organs of International Law and the Problem of Autointerpretation, in: Ibid., p. 70 1367 J. Dugard, Recognition and the United Nations, Hersch Lauterpacht Memorial Lectures (III), Cambridge, 1987, p. 11 1368 Ibid., p. 50 1369 Ibid., p. 135 1370 Ibid.
370
recognition.”1371 But again, it is not submitted in the present study that the
world organization acts on behalf of sovereign independent states in the
context of recognition. The latter still falls within the scope of the
competence of each sovereign state, except where the UN Security Council
has directed states not to recognize an entity as a state.1372 It is exactly this
latter circumstance, which is decisive for the purposes of my thesis and
which denotes the status of the de facto state. It underscores the importance
of the membership of the UN:
“Gewiß ist die Quasi-Universalität der Vereinten Nationen auch eine Quelle
ihrer Krisen. Auf der anderen Seite folgt daraus der Trend zur
geschlossenen Gesellschaft, der dem Außenstehenden im Prinzip eine
inferiore Stellung zuweist. Fragen der Aufnahme oder des Ausschlusses aus
der Organisation erhalten dadurch eine ganz andere Bedeutung.”1373
It follows that as only states can be members of the UN and the
developments denoting the emergence of an “exclusive society” have been
emphasized, it can be asserted that the world organization represents, in this
context, an “exclusive club” of states. Accordingly, this state of things
determines the position of the international community vis-à-vis an
“outsider”, i.e. the de facto state. The latter does not represent a member of
the club.
10.5 Legal impact of recognition and non-recognition of statehood on the principle of effectiveness
Bearing in mind all the considerations mentioned above, the legal
significance of non-recognition of statehood has to be clarified at this stage.
Hillgruber stresses that the notion of non-recognition implies a negative
legal effect, namely withholding the status of a state (under international
law) from a respective aspirant for statehood and averting the emergence of
an international legal person. If the acquisition of an international legal
1371 Ibid., p. 164 1372 Ibid., p. 166 1373 E. Klein, Die Nichtanerkennungspolitik der Vereinten Nationen gegenüber den in die Unabhängigkeit entlassenen südafrikanischen homelands, in: ZaöRV, Bd. 39, 1979, p. 490
371
status of a sovereign independent state were solely the matter of satisfying
the traditional or empirical criteria for statehood based on effectiveness, this
state of things would render the notion of non-recognition meaningless. The
concept of non-recognition would then merely express the political
disapproval of the emergence of a new entity, i.e. this kind of disapproval
would entail no consequences within the realm of public international law.
The author emphasizes that such an assertion is inconsistent with state
practice.1374
Indeed, the state practice within the realm of contemporary international law
does not suggest that the notion of effectiveness was regarded by the
members of the international community as a sole guiding principle in the
context of granting international recognition as a state. On the contrary,
even in one particular episode of the history, the traditional or empirical
criteria for statehood were weighed against the components of juridical
statehood and it cannot be said that the former got the upper hand over the
latter.
The Badinter Arbitration Committee asserted that the existence or
disappearance of a state is a question of fact and the effects of recognition
by other states are purely declaratory.1375 On the other hand, the guidelines
on the formal recognition of new states in Eastern Europe and the former
Soviet Union, adopted by the then EC, endorse following requirements: a)
respect for the provisions of the UN Charter and commitments entailed in
the Helsinki Final Act and the Charter of Paris, especially with regard to the
rule of law, democracy and human rights; b) guarantees for the rights of
ethnic and national groups and minorities in accordance with the
commitments enshrined in the documents adopted within the framework of
the CSCE; c) respect for the inviolability of frontiers which can only be
changed by peaceful means and by common agreement; d) acceptance of all
relevant commitments concerning disarmament and nuclear non- 1374 C. Hillgruber, Die Aufnahme neuer Staaten in die Völkerrechtsgemeinschaft, Das völkerrechtliche Institut der Anerkennung von Neustaaten in der Praxis des 19. und 20. Jahrhunderts, in: H. Schiedermair (Hrsg.), Kölner Schriften zu Recht und Staat, Bd. 6, Frankfurt am Main et al., 1998, p. 747 1375 Conference on Yugoslavia Arbitration Commission: Opinions on Questions arising from the Dissolution of Yugoslavia [January 11 and July 4, 1992], Opinion No. 1 (para. 1 (a)), in: 31 ILM 1488 (1992), p. 1495
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proliferation as well as security and regional stability; e) commitment to
settle by agreement (where appropriate by recourse to arbitration) all
questions regarding state succession and regional disputes.1376
It is thus evident that the guidelines include elements of juridical statehood.
The latter requirements can also be described as additional or modern
criteria for statehood and, if one examines the principles adopted in the
document in question, it becomes clear that they denote exactly the ability
and the will to observe international law, the manifestation which has been
discussed in the present study in connection with Art. 4 (1) of the UN
Charter.
It has to be noted that the reference in the declaration to the readiness of
respective parties to recognize new states subject to the normal standards of
international practice and the political realities in each case, does not rebut
the assertion concerning the overwhelming importance attached to the
juridical statehood based on modern criteria, because the authors of the
document make a clear statement, at the end, that the commitment to the
principles enshrined in the declaration “opens the way to recognition by the
Community and its Member States and to the establishment of diplomatic
relations.”1377 It is also important to emphasize that the document in
question contains special reference to the right of peoples to self-
determination in the context of the adherence of the EC and its member
states to the principles of the Helsinki Final Act and the Charter of Paris.1378
According to Krieger, there is no rejection of the requirement of
effectiveness in the declaration on guidelines, and the reference to the
traditional criteria for statehood is made in the formulation regarding the
recognition subject to the “normal standards of international practice”. This
author asserts that statehood is determined by the EC member states in
1376 European Community: Declaration on Yugoslavia and on the Guidelines on the Recognition of New States [December 16, 1991], Declaration on the “Guidelines on the Recognition of New States in Eastern Europe and in the Soviet Union” of 16 December 1991, in: 31 ILM 1485 (1992), p. 1487 1377 Ibid. 1378 Ibid., pp. 1486-1487
373
accordance with traditional criteria and other requirements enshrined in the
document represent mere political manifestations.1379
But my argument does not concern the outright rejection of the notion of
effectiveness in the context of statehood. The point here is that, in practice,
the international community widely adhered to the juridical statehood, as
such, and the requirements of effectiveness were overruled by the criteria
connected with the juridical statehood. This means that, despite the lack of
effectiveness, respective aspirants for statehood were granted recognition
and juridical states were created. Thus, the argument that the principles
enumerated in the declaration on recognition were solely of political
character, is unsustainable because recognition was granted, in certain cases,
on the basis of assurances, given by respective elites, to fulfill the criteria
enshrined in the document (e.g. in the case of Croatia) and those principles,
as they guided the “recognizers” in the process of creating juridical
statehood, can be regarded as legal criteria. It is important to refer to the
right of peoples to self-determination and acknowledge the role of the
notion of self-determination in the context of the process described above.
It is true that there are cases in which respective states have been recognized
despite the lack of effectiveness. The point here is that “In such situations,
the lack of effective government is compensated by an applicable right of
external self-determination.”1380 Although this assertion has been made by
the author with reference to the colonial situation1381, the same can be
asserted in respect of cases outside the colonial context. The latter assertion
is confirmed by practical examples: the case of Bosnia-Herzegovina has
already been referred to in the present thesis, the example of Croatia is also
relevant in this context. The fulfilment of the criterion of effectiveness was
the problem and one can find such a statement in this respect:
“Jede Hilfeleistung zugunsten der kroatischen Sezessionsbewegung – und
dazu gehört auch der politische Akt der völkerrechtlichen Anerkennung,
1379 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 138 1380 D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43, The Hague et al., 2002, p. 104 1381 See Ibid.
374
durch den Kroatien auf die Ebene eines internationalen Rechtssubjekts mit
allen Rechten und Pflichten, die den Staaten eigen sind, gehoben wurde –
war […] eine unter dem Völkerrecht verbotene Intervention in die inneren
Angelegenheiten Jugoslawiens.”1382
The fact that the international community adhered to the juridical statehood
in the case of Croatia is confirmed by the circumstances surrounding the
recognition of this state. The assurance by the Croatian President Tudjman
that his country would comply with the provisions of the guidelines
concerning the protection of minorities, served as a vehicle in furtherance of
the recognition of Croatia and, on 15 January 1992, the decision was made
within the framework of the EPC in favour of recognition of Croatia and
Slovenia by the members of the EC (the FRG had already recognized these
two states on 23 December 1991).1383 On 22 May 1992, the UN General
Assembly made a decision on the basis of the recommendation of the
Security Council and admitted Slovenia and Croatia to membership of the
organization by consensus, i.e. without formal vote.1384
Furthermore, Raič refers to the cases of Croatia and Bangladesh and stresses
that both were considered to be states, and their recognition lawful, despite
the fact that no effective government existed either at the date of the
proclamation of independence, or at the time when most states recognized
them.1385 Thus, it can be asserted that the international community created
the cases of prevalence of the juridical manifestation of statehood over the
empirical one. Some other examples, where respective entities lacked
effective governance but, despite this, were recognized as states and were
regarded as such, are those of Algeria, Guinea-Bissau, Angola, the
Congo.1386
1382 H. Weber, Der Jugoslawien-Konflikt und die Grenzen des Selbstbestimmungsrechts der Völker, in: HuV-I, Jg. 6, Heft 1, 1993, p. 10 1383 C. Hillgruber, Die Aufnahme neuer Staaten in die Völkerrechtsgemeinschaft, Das völkerrechtliche Institut der Anerkennung von Neustaaten in der Praxis des 19. und 20. Jahrhunderts, in: H. Schiedermair (Hrsg.), Kölner Schriften zu Recht und Staat, Bd. 6, Frankfurt am Main et al., 1998, p. 651 1384 Ibid., p. 653 1385 D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43, The Hague et al., 2002, p. 363 1386 Ibid., pp. 96-101
375
It follows that in the absence of an effective situation, recognition was
granted to respective entities if there was a valid claim to self-determination.
On the other hand, violation of the right of peoples to self-determination
was the basis of non-recognition of entities which satisfied the traditional
criteria for statehood reflected in the principle of effectiveness. It is exactly
the “compensatory force of the right of external self-determination”1387
which is decisive in the context of respective developments concerning the
issue of statehood.
Statehood means more than mere effectiveness and if the emergence of an
entity, which aspires to the acquisition of the status of a “state”, is connected
with the violation of a peremptory norm of public international law, ex factis
jus oritur cannot validate this flaw on the basis of the existence of a factual
situation because “An act in violation of a norm having the character of jus
cogens is illegal and is therefore null and void. This applies to the creation
of States, the acquisition of territory and other situations, […]”1388. Thus,
the fact that statehood means more than mere effectiveness is a result of
important developments experienced by public international law.
The international law of the nineteenth century gave way to the
contemporary international legal system which embodies obligations erga
omnes and jus cogens norms, which is familiar with the maxim ex injuria
jus non oritur and, accordingly, with non-recognition of statehood and its
coherent enforcement machinery. The assertion that the emergence of a state
is an extralegal, sociological event which is not controlled by the legal order
(the pure fact view)1389, is unsustainable. The reason for this reads as
follows:
“This view sets the entity’s own subjective power and will to exist as a State
before any act of recognizing it as a State by the legal order. But it looks
apologist in its reliance on the self-assessment of the entity itself. Surely,
even if the process which leads to the establishment of the State may be a
1387 Ibid., p. 104 1388 J. Dugard, Recognition and the United Nations, Hersch Lauterpacht Memorial Lectures (III), Cambridge, 1987, p. 135 (italics in original) 1389 M. Koskenniemi, From Apology to Utopia, The Structure of International Legal Argument, Reissue with a new Epilogue, Cambridge UP, 2005, p. 272
376
sociological one, it cannot be wholly dependent on what the emergent entity
does and how it itself views what it is doing.”1390
Indeed, this kind of “self-assessment” is a hallmark of the de facto state
which wishes to be treated like a normal state, it sees itself as being capable
of entering into relations with existing states, it considers itself as a “state”.
But this “self-assessment” does not guarantee the statehood under
contemporary international law. The point here is that the creation of a state
is not simply the establishment of some facts the verification of which is
beyond the scope of public international law. It is otherwise impossible to
explain, why the effective territorial entities claiming statehood, which were
referred to in the present study, were not considered as states and remained
unrecognized. They were not condemned for the reason of non-fulfilment of
empirical criteria for statehood, rather, the violation of legal rules was the
issue in question and those rules were applied in furtherance of non-
recognition.
Again, it is not argued in the present study that the notion of effectiveness is
irrelevant for the purposes of statehood. I only assert that “Statehood seems
dependent on both facts and an external cognition of facts.”1391 For the
purposes of the general problem of statehood this means that in
contemporary international law, traditional criteria for statehood based on
effectiveness are supplemented by the additional criteria based on legality.
Accordingly, if the emergence of a state is connected with the breach of a
peremptory rule of international law, the entity is question will be exposed
to non-recognition by the international community. The latter consideration
is also applied to the de facto state. The law-fact interaction within the
realm of contemporary international law means, for this kind of territorial
entity, that mere existence of an effective situation does not guarantee the
acquisition of statehood by it, respective claim to statehood has to be
validated by substantive recognition granted by the international
community. This state of things is expressed in the following statement:
1390 Ibid., p. 273 1391 Ibid., p. 280
377
“Wenn der Begriff ‘Staat’ mit der Effektivität als ein wesentliches Merkmal
innerstaatlicher Ordnung völkerrechtlich ab initio einen objektiv normativen
Wert hätte, würde die Anerkennungspraxis von neuen Staaten im bilateralen
Verhältnis normativ wertlos werden. Daß neue Staaten von Drittstaaten
anerkannt werden, geschieht aber auf Grund einer Ermessensregel der
Anerkennung und nicht auf Grund eines ipso facto normativen Wertes des
Begriffes ‘Staat’.”1392
The point here is that if one regards the existence of an unrecognized state
as an “undeniable fact”, the existence of third states and their sovereign will,
to recognize or not to recognize the state in question, is no less undeniable.
Furthermore, the existence of an unrecognized state, as a fact, is not
regulated by public international law, whereas the notion of the sovereign
will of states represents main pillar of the contemporary international legal
order and scholarship.1393 It follows that the notion of effectiveness does not
possess absolute normative force and, therefore, it has to be regarded as a
principle and not a norm.1394
1392 W. H. Balekjian, Die Effektivität und die Stellung nichtanerkannter Staaten im Völkerrecht, Den Haag, 1970, p. 37 (emphases and italics in original) 1393 Ibid., p. 42 1394 Ibid., p. 44
378
Conclusions
Effectiveness has been used in the present study as an adjective denoting the
existence of “factual” state of affairs, because this is the content of the
notion of effectiveness under public international law in the literal sense.1395
Effectiveness has been regarded as a “conceptual device that captures the
inter-relation between social reality and law and the influence of the former
over the latter.”1396 This meaning of effectiveness has been applied to the
issue of statehood in the context of the fulfillment of traditional criteria.
The issue of statehood was the question of overwhelming importance with
regard to my project, because the status of the territorial entity representing
the subject of examination has been considered in the light of the question
of statehood. The de facto state has been regarded as an aspirant striving for
the inclusion in the club of sovereign states. Of course, it is also possible
that respective elites use their power to maintain the status quo and, in doing
so, they wish to preserve existing state of things instead of actively and
really promoting the idea of independent statehood. For example, the
political elite of the “Republic of China on Taiwan” has not, as yet, made
the official declaration of independence. Nevertheless, the issue of statehood
has been considered, in the present study, as the ideological basis of
existence of the de facto state.
The most important conclusion of the present study is that the principle of
effectiveness, as such, cannot “guarantee” that an effective territorial entity
acquires statehood within the realm of contemporary international law. The
notion of the de facto state demonstrates that statehood does not represent
solely a matter of fact, but requires, in this context, “supplementary
elements” the emergence of which is the consequence of the developments
experienced by public international law, connected with the existence of jus
cogens norms and obligations erga omnes, and the developments in question
make greater demands on effective territorial entities in the context of
1395 H. Krieger, Das Effektivitätsprinzip im Völkerrecht, Schriften zum Völkerrecht, Bd. 137, Berlin, 2000, p. 39 1396 E. Milano, Unlawful Territorial Situations in International Law, Reconciling Effectiveness, Legality and Legitimacy, Developments in International Law, Vol. 55, Leiden / Boston, 2006, p. 51
379
acquisition of statehood. My dissertation reveals that the certification of the
existence of those additional components is a function of international
recognition.
Theoretical discussion, whether the notion of recognition is declaratory or
constitutive, is fruitless for the purposes of the present thesis. Despite the
debates concerning the very essence of recognition of statehood, the case of
the de facto state confirms that the concept in question serves as a means
having its impact on the status of effective territorial entities. It follows that
widespread non-recognition can deprive the de facto territorial entity of the
status of a “state” within the realm of contemporary international law. It has
to be borne in mind that the lack of substantive recognition, being a
hallmark inherent in the definition of the de facto state, hinders the latter
from acquiring full statehood and international legal personality. Thus, even
if we assume that recognition of statehood is a declaratory act, in the context
of existence of the de facto state it is, by its very essence, constitutive.
Bearing in mind the considerations mentioned above with regard to the
significance of the notion of recognition in the de facto territorial setting, I
would describe this nature of the concept in question as “negative
constitutiveness”.
The “statelessness” of public international law does not mean that
effectiveness, per se, creates international legal personality of a territorial
entity. Such self-evident or automatic law-creating influence of facts has to
be rejected for the purposes of the present thesis: “Facts alone are powerless
to create law. For facts to have significance an anterior legal system must be
assumed to exist which invests facts with normative sense.”1397 The point
here is that although effectiveness influences acquisition of rights in
international law, it is still the notion coupled by the international legal
system to certain facts in defined situations, i.e. the effectiveness is only
legally relevant as far as the legal system permits it.1398
1397 M. Koskenniemi, From Apology to Utopia, The Structure of International Legal Argument, Reissue with a new Epilogue, Cambridge UP, 2005, p. 274 1398 D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43, The Hague et al., 2002, p. 53
380
It follows that, in the case of the de facto state, contemporary international
law does not allow the principle of effectiveness to function as a sole
legitimizing factor of the claim to statehood. Thus, the claim of an effective
territorial entity, to be treated like a “normal” state, needs the validation
from the side of the international community and this validation is regarded
to be substantive international recognition of the entity in question. It
follows that, in order to transform an effective situation into the normative
state of affairs, respective value judgment in the form of international
recognition is needed.1399
On the other hand, it is also true that international law has to respond to the
factual developments in order to effectively cope with facts, but an
exception to this kind of attitude is formed by the situation being result of a
violation of a peremptory norm of international law.1400 In this case, the
international legal system will not, in principle, allow attainment of the legal
status by the entity in question.1401 The point here is that “the legal rule
never embraces social reality in all its fullness and complexity. Attempting
to do so, law would risk compromising its proper ends as well as
overshooting its possibilities.”1402 Thus, as a response to the factual
situations involving breaches of peremptory rules of public international
law, the latter has developed the doctrine of non-recognition which acquires
its special significance within the realm of contemporary international legal
order. This doctrine is nowadays backed by the effective machinery for its
application, namely the UN. The cases of Katanga, Southern Rhodesia and
the South African homelands confirm these considerations. They reveal,
together with the case of Biafra, that the effective existence does not, per se,
amount to the acquisition of statehood on the international plane.
1399 “Effectivity usually attains to normativity only by way of presumptions that the mind of man bases upon facts or situations and the consequences that it attaches to them.”, C. De Visscher, Theory and Reality in Public International Law, Revised Edition, Translated from the French by P. E. Corbett, Princeton, 1968, p. 318 1400 D. Raič, Statehood and the Law of Self-Determination, Developments in International Law, Vol. 43, The Hague et al., 2002, p. 54 1401 Ibid., pp. 55-56 1402 C. De Visscher, Theory and Reality in Public International Law, Revised Edition, Translated from the French by P. E. Corbett, Princeton, 1968, p. 143
381
The role of overwhelming importance played by the principle of
effectiveness within the realm of public international law until 1945 has
been diminished. It follows that post World War II developments
experienced by public international law denote the shift towards more
limited acceptance of power as a “source” of law and effectiveness can no
longer be regarded as a fundamental principle, but must be taken in due
consideration with other manifestations such as principles of legality,
recognition, acquiescence and protest.1403 It is not to say that the principle of
effectiveness bears no legal significance at all. Rather, the criterion of
effectiveness is supplemented by the requirement of legitimacy in the
context of acquisition of statehood and this test is applied to the notion of
the de facto state.
Effectiveness alone, cannot guarantee statehood, it must be validated by the
international community by means of substantive recognition. The same is
also true in respect of the manifestation of the principle of effectiveness
expressed through the notion of an accomplished fact, denoting the
“political nature” of international law. It has been demonstrated in the
present study that public international law is a phenomenon distinct from
politics.1404 Moreover, it has to be stressed that the norms of public
international law “establish the legal parameters for politics.”1405 Thus, the
politics of fait accompli, as such, cannot transform the factual state of affairs
into the legal one within the contemporary international legal order. The
same has to be concluded in respect of other “faces” of the principle of
effectiveness, namely the notion of normative Kraft des Faktischen and the
concept of ex factis jus oritur: they do not “guarantee” the statehood of a
territorial entity merely on the basis of its effective existence.
It is also an important conclusion of the present study that there can be no
precedential impact of one de facto state on the status of the other, i.e. the
precedential value of de facto statehood has to be rejected. This conclusion
1403 E. Milano, Unlawful Territorial Situations in International Law, Reconciling Effectiveness, Legality and Legitimacy, Developments in International Law, Vol. 55, Leiden / Boston, 2006, p. 43 1404 See G. I. Tunkin, On the Primacy of International Law in Politics, in: W. E. Butler (ed.), Perestroika and International Law, Dordrecht et al., 1990, p. 6 1405 Ibid.
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is drawn on the basis of the case studies made in the second part of my
dissertation revealing characteristic features of particular de facto states and
legal differences between them. Accordingly, each and every single case,
where the realization of the right of peoples to self-determination is the
issue in question, represents a sui generis case which has to be considered
separately.
The ROC has made its way from a sovereign state to de facto local
government and acquired the status of a fully-fledged de facto state. The
TRNC is branded as an “illegal entity” because of Turkey’s 1974 military
intervention. The latter violated Art. 2 (4) of the UN Charter and
undermined the foundation on which the existence of the Republic of
Cyprus was based. The “Republic of Kosovo” represents the de facto state
status of which is a product of the UN Security Council “legislation” and the
notion of unilateral remedial secession as an expression of external self-
determination. The way made through by Kosovo implies the transition
from an autonomous province within Serbia to the fully-fledged de facto
state via the status of the UN protectorate and by means of the application
of an “earned sovereignty approach”, the latter denoting the principle known
as “standards before status”. The status of the “Republic of Abkhazia” has
been examined in the context of secessionist self-determination and, after
concluding that respective claim does not represent a strong one, the
possibility of validation of its effective existence (in the form of statehood)
has been considered with reference to the notion of acquisitive prescription.
It follows that the latter manifestation, being one particular “mode of
functioning” of the principle of effectiveness, does not entail Abkhazia’s
statehood.
It has to be concluded that there is no uniform status enjoyed by the de facto
states within the realm of public international law. The principle of
effectiveness, as such, does not “guarantee” the acquisition by the de facto
state of the status applicable erga omnes in the international legal order. But
international law cannot be “blind” with regard to the existence of this kind
of territorial entities and, in the environment described as “völkerrechtliche
Stabilisierung und Befriedung”, they enjoy partial international legal
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capacity and personality on the basis of the principle of effectiveness. This
has been demonstrated with reference to the applicability of the prohibition
of the use of force, enshrined in Art. 2 (4) of the UN Charter, to the case of
the “Republic of South Ossetia”.
As with regard to the realization of the right of peoples to self-
determination, it has to be stressed that indeed, to express its own national
identity and exercise collective sovereignty, i.e. self-determination, is
imperative for each people.1406 But it is not to say that every people will be
granted status claimed by its representatives. Rather, as self-determination
of peoples has “many faces”, the status in question can be different but,
despite this, it can still denote that the right to self-determination has been
realized. There are situations in which factual reality does not coincide with
the requirements of legitimacy and it is the trust of international law to
distinguish valid claims to (external) self-determination from invalid ones.
The point here is that de facto situations are different, secession is one of the
most difficult problems facing the international community and my
argumentation is that the secession cannot be claimed, as a vehicle for
realization of the right of peoples to self-determination, in each and every
single case.
The objective of the present study was to clarify the issue of the normative
content of the principle of effectiveness in the context of existence of de
facto states. It has to be concluded that the principle of effectiveness fulfils,
in this respect, a partly normative function which guarantees that the de
facto state, not enjoying the full international legal personality applicable
erga omnes, does not “develop” into the legal nullity.
1406 Y. Sayigh, Redefining the Basics: Sovereignty and Security of the Palestinian State, in: Journal of Palestine Studies, A Quarterly on Palestinian Affairs and the Arab-Israeli Conflict, Vol. XXIV, 1995, p. 16